Awards and accolades

At BNP Paribas Asset Management, we are determined to generate long-term sustainable returns for our clients, based on a sustainability-driven approach.

Since 2002, our commitment to sustainability and approach to investment management has consistently earned us industry recognition. This underscores our strengths and our ability to address clients’ needs in an ever-changing world.

Featured awards

Trademark, copyright, and other intellectual property rights are and remain the property of their respective owners.

Sustainability

Asia Asset Management

Best of the Best Awards 2025

  • Best Client Servicing in Asia
  • Best ESG Manager, ASEAN
  • Best Climate Change Strategy, ASEAN (for three consecutive years)
  • Best ESG Manager, Malaysia (fifth time winning)

Best of the Best Awards 2024

  • Best ESG Manager in Asia (fifth time winning)
  • Best Climate Change Strategy in Asia
  • Best Climate Change Strategy, ASEAN (for two consecutive years)
  • Best ESG Engagement Initiative, Malaysia

Best of the Best Awards 2023

  • Best ESG Manager in Asia (fourth time winning)
  • Best ESG Manager, Malaysia (for four consecutive years)
  • Best Climate Change Strategy, ASEAN 

AsianInvestor

Asset Management Award 2024 – Marquee Awards

  • Asia Fund House of the Year – ESG

Asset Management Award 2024 – ESG Excellence Awards

  • Best Fund House – Environmental
  • Best Fund House – Governance

Asset Management Awards 2023 – ESG Excellence Awards

  • – Best Social Investment Strategy Adviser

Asian Private Banker

Asset Management Awards for Excellence 2025

  • House of the Year – ESG
  • Best New Fund ESG/Sustainability – Global Equity Net Zero Transition Fund
  • ESG / Sustainable Bond (Highly Commended)

Asset Management Awards for Excellence 2023

  • Best Fund Provider – ESG / Sustainable Equity

Insurance Asia News

Institutional Asset Management Awards 2024

  • Best Sustainable Investment Policy

Institutional Asset Management Awards 2023

  • Best ESG Thematic Strategy – Corporate Governance

The Asset

Triple A Sustainable Investing Awards 2023 and 2024

  • ESG Asset Management Company of the Year (Highly Commended)

Triple A Sustainable Investing Awards 2022

  • ESG Asset Management Company of the Year in Asia (for three consecutive years)
  • ESG Asset Management Company of the Year, Malaysia (for three consecutive years)

Citywire

Asset Management Awards 2022

  • Best Environmental Focused Fund Manager
  • ESG House of the Year

Stewardship Asia Centre

2022 Steward Leadership 25

  • Climate action through voting and engagement

Global Islamic Finance Awards (GIFA)

GIFA 2022

  • GIFA Market Leadership Award (Shari`a ESG Investments) 2022 (for two consecutive years)

GIFA 2021

  • GIFA Market Leadership Award (Shari’a ESG Investments) 2021

Investment & performance

EPF External Fund Managers Awards

EPF External Fund Managers Awards 2024

  • Best Global Bond Fund Manager 2024 (second consecutive win)
  • Best Equity ROI 2024
  • Best Domestic Equity Fund Manager (Shariah) 2024

EPF External Fund Managers Awards 2023

  • Best Global Bond Fund Manager 2023

EPF External Fund Managers Awards 2022

Category 1: EPF External Fund Managers Awards for All Mandates (Equities and Fixed Income)

  • Best International Equity Fund Manager for FTSE Ethical World Developed 2022 (for two consecutive years)
  • Best International Equity Fund Manager for FTSE Shariah World Developed 2022 (for three consecutive years)
  • Best Global Sukuk Fund Manager 2022 (for two consecutive years)

EPF External Fund Managers Awards 2021

Category 1: EPF External Fund Managers Awards for Equity Mandate

  • Best 3-Year ROI International Equity Fund Manager for FTSE Ethical World Developed 2021 (for six consecutive years)
  • Best 3-Year ROI International Equity Fund Manager for FTSE Shariah World Developed 2021 (for two consecutive years)
  • Best International Equity Fund Manager for FTSE Ethical World Developed 2021
  • Best International Equity Fund Manager for FTSE Shariah World Developed 2021 (for two consecutive years)

Category 2: EPF External Fund Managers Awards for Fixed Income Mandate

  • Best 3-Year ROI Global Sukuk Fund Manager 2021
  • Best 3-Year ROI Domestic Sukuk Fund Manager 2021 (for two consecutive years)
  • Best Global Sukuk Fund Manager 2021

The above is the largest sweep by a single fund management company managing EPF’s mandate.

Asia Asset Management

Best of the Best Awards 2025

  • Global Technology (3 years) in Asia

Asian Private Banker

Asset Management Awards for Excellence 2024

AsianInvestor

Asset Management Award 2024 – Marquee Awards

  • Best Institutional Strategy

Asset Management Award 2024 – Asset Class Awards

  • China A Shares

Insurance Asia News

Institutional Asset Management Awards 2024

  • Best Quantitative Solution Provider

The Asset

Triple A Sustainable Investing Awards 2023

Notes:

  • Asia Asset Management Best of the Best Awards are issued by Asia Asset Management in the year specified, reflecting the performance as at 30 September of the previous year.
  • AsianInvestors Asset Management Awards are issued by AsianInvestors in the year specified, reflecting the performance as at the previous calendar year end.
  • Asian Private Banker Asset Management Awards are issued by Asian Private Banker in the year specified, reflecting the performance as at 31 August of the previous year. 
  • Citywire Asia Asset Management Awards are issued by Citywire Asia in the year specified, reflecting the performance as at 30 September of the award year.
  • EPF External Fund Managers Awards are issued by Employees Provident Fund (EPF) Malaysia, recognizing its top external fund managers’ outstanding performance over a 3-year period in their respective mandates that are assessed based on sets of quantitative metrics, reflecting the performance as at the previous calendar year end.
  • Global Islamic Finance Awards (GIFA) are issued by Edbiz Corporation as part of its advocacy for Islamic banking and finance in the year specified, reflecting the performance as at 30 June of the award year.
  • Insurance Asia News Institutional Asset Management Awards are issued by Insurance Asia News in the year specified, reflecting the performance as at the previous calendar year end.
  • Steward Leadership 25 is issued by Stewardship Asia Centre, INSEAD Hoffman Global Institute for Business and Society, WTW and The Straits Time in the year specified, reflecting the performance as at 31 September of the previous calendar year.
  • The Asset Triple A Sustainable Investing Awards are issued by The Asset in the year specified, reflecting the performance as at the previous calendar year end.

Important information

This material is issued by BNP PARIBAS ASSET MANAGEMENT Malaysia Sdn Bhd, an investment management company holding a Capital Markets Services Licence under the Capital Markets and Services Act 2007 of Malaysia, having its principal place of business at Vista Tower, Level 48D, The Intermark 348 Jalan Tun Razak 50400 Kuala Lumpur, Malaysia. This material has not been reviewed by the Securities Commission Malaysia.

This material is produced for information purposes only and does not constitute:

  1. an offer to buy nor a solicitation to sell, nor shall it form the basis of or be relied upon in connection with any contract or commitment whatsoever or
  2. investment advice.

Opinions included in this material constitute the judgement of the investment management company at the time specified and may be subject to change without notice. The investment management company is not obliged to update or alter the information or opinions contained within this material. Investors should consult their own legal and tax advisors in respect of legal, accounting, domicile and tax advice prior to investing in the financial instrument(s) in order to make an independent determination of the suitability and consequences of an investment therein, if permitted. Please note that different types of investments, if contained within this material, involve varying degrees of risk and there can be no assurance that any specific investment may either be suitable, appropriate or profitable for an investor’s investment portfolio.

Given the economic and market risks, there can be no assurance that the financial instrument(s) will achieve its/their investment objectives. Returns may be affected by, amongst other things, investment strategies or objectives of the financial instrument(s) and material market and economic conditions, including interest rates, market terms and general market conditions. The different strategies applied to financial instruments may have a significant effect on the results presented in this material. Past performance is not a guide to future performance and the value of the investments in financial instrument(s) may go down as well as up. Investors may not get back the amount they originally invested.

Environmental, social and governance (ESG) investment risk: The lack of common or harmonised definitions and labels integrating ESG and sustainability criteria at EU level may result in different approaches by managers when setting ESG objectives. This also means that it may be difficult to compare strategies integrating ESG and sustainability criteria to the extent that the selection and weightings applied to select investments may be based on metrics that may share the same name but have different underlying meanings. In evaluating a security based on the ESG and sustainability criteria, the Investment Manager may also use data sources provided by external ESG research providers. Given the evolving nature of ESG, these data sources may for the time being be incomplete, inaccurate or unavailable. Applying responsible business conduct standards in the investment process may lead to the exclusion of securities of certain issuers. Consequently,  performance may at times be better or worse than the performance of relatable strategies that do not apply such standards.

Trademark, copyright, and other intellectual property rights are and remain the property of their respective owners.