Venture capital & impact strategies
BNP Paribas Asset Management Venture Capital & Impact team, led by Yann Lagalaye, focuses on identifying and supporting high-growth potential start-ups across three key areas: ecological transition, fintech/insurtech and impact. Leveraging their expertise and strategic network, they offer three strategies to drive innovation and deliver long-term value.
BNP Paribas Solar Impulse Venture
BNP Paribas Solar Impulse Venture seeks to invest in fast-growing start-ups and scale-ups across ecological transition sub-sectors, with the objective of accelerating their development and providing attractive returns to investors. The fund brings together BNP Paribas’ climate technology investment expertise with Bertrand Picard’s Solar Impulse Foundation.
Opera Tech Ventures
Opera Tech Ventures is dedicated to supporting the global transformation of the financial industry. It targets opportunities across funding rounds and sectors including payments, open banking, mobility, lending, and alternative data.
Learn moreImpact
Our impact strategy seeks to invest in the implementation of impact-dedicated business models across social impact, natural capital, and local development and climate change. It targets opportunities across developed and developing countries with an initial focus on Europe, Latin America, Asia and Africa.
Investment risks
Private assets are investment opportunities that are unavailable through public markets such as stock exchanges. They enable investors to directly profit from long-term investment themes and can provide access to specialist sectors or industries, such as infrastructure, real estate, private equity and other alternatives that are difficult to access through traditional means. Therefore, any investment in private assets does require careful consideration, as they tend to have high minimum investment levels and may be complex and illiquid, as well as may be exposed to specific risks, including:
- ILLIQUIDITY OF THE SUB-FUND’S SHARES
- ILLIQUIDITY OF THE SUB-FUND’S INVESTMENTS
- CREDIT QUALITY
- LIQUIDITY RISK
- LONG-DATED NATURE OF MOST INVESTMENTS
- CONCENTRATION
- MARKET RISK
- INTEREST RATES
- FOREIGN EXCHANGE RATES AND HEDGING
For a complete description and definition of the strategy’s generic and specific risks, please refer to the Prospectus and KID.
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Important information
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