BNP Paribas Asset Management ETFs

BNP Paribas AM

The sustainable investor for a changing world

BNP Paribas Asset Management ("BNPP AM") is the investment arm of BNP Paribas, a leading banking group in Europe with international reach. BNPP AM aims to generate long-term sustainable returns for its clients, based on a sustainability-driven approach. BNPP AM’s investment capabilities are focused around six key strategies: High Conviction Strategies, Liquidity Solutions, Emerging Markets, Multi-Assets, Systematic, Quantitative & Index and Private Assets, with investment processes incorporating quantitative and fundamental analysis.

Sustainability is core to BNPP AM’s strategy and investment philosophy. Among the leaders in thematic investment in Europe [1], BNPP AM intends to contribute to the energy transition, environmental sustainability and the promotion of equality and inclusive growth globally.
BNPP AM currently manages EUR 524 billion of assets (EUR 638 billion of assets under management and advisory) and benefits from the expertise of more than 500 investment professionals and around 400 client servicing specialists, serving individual, corporate and institutional clients in 69 countries.

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Source: BNPP AM, as at 30 September 2023
[1] Source: 2nd in Europe for active sustainable thematic strategies, according to an analysis made by BNP Paribas Asset Management based on Morningstar data as at 31/12/2022..

Promotion for Directa Customers

Starting from December 1, 2023, ZERO Fees on a selection of BNPP AM products

The promotion is valid only for purchase orders and for minimum order values of € 1,500

The list of products is available here

BNP Paribas Asset Management ETFs

BNP Paribas Asset Management offers a wide range of ESG-aligned [1] and thematic ETFs [2]. Today, BNPP AM manages around 39 billion EUR in index solutions [3].

ETFs have grown in popularity in recent years thanks to generally lower fees, intraday trading, and enhanced transparency.

ESG-aligned ETFs can provide additional benefits like improved risk management by, for example, steering clear of companies involved in controversial activities that could damage their reputation and business performance. And those that target specific themes, such as low-carbon energy, could offer attractive long-term growth potential, albeit with greater volatility and risk.

Source: BNPP AM, as of September 30, 2023
[1] ESG = Environmental, Social, Governance
[2] ETF = Exchange-traded fund
[3] Source: BNP Paribas Asset Management, as of 31 January 2023

Fundamental Pillars of BNPP AM

BNPP AM aims to generate long-term sustainable returns for clients, based on six core investment features:

  • Conviction driven: In a changing world, conviction based investment philosophy provides scope to capture both short and long-term opportunities for value creation. BNPP AM’s approach combines a thorough understanding of market dynamics and fundamentals (at security, sector, thematic levels), enabling high conviction positions and a dynamic allocation of capital across varied time horizons.
  • Sustainable: BNPP AM is convinced that they make better decisions by integrating sustainability into their investment processes. This will result in better outcomes for their clients and the planet.
  • Research driven:Research is the foundation on which BNPP AM builds markets’ views to support convictions and applies both a quantitative and fundamental approach to research with a culture of curiosity, collaboration, and challenge.
  • Global perspective:A global perspective is needed to make better investment decisions, in an increasingly interconnected world.
  • Powered by people: People drive investment decisions. BNPP AM is committed to attracting, nurturing, and retaining the diversity of its talents.
  • Risk management: The value created through their research and idea generation needs to be carefully preserved through appropriate risk utilization.

Insights from BNPP AM

For weekly market updates, investment insights, portfolio perspectives, investment outlook, and to learn more about sustainability-linked investments, follow BNP Paribas Asset Management on:

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BNP PARIBAS ASSET MANAGEMENT France, “the investment management company”, is a simplified joint stock company with its registered office at 1 boulevard Haussmann 75009 Paris, France, RCS Paris 319 378 832, registered with the “Autorité des marchés financiers” under number GP 96002.
This material is issued and has been prepared by the investment management company. This material is produced for information purposes only and does not constitute:
1. aan 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.
This material makes reference to certain financial instruments authorised and regulated in their jurisdiction(s) of incorporation.
No action has been taken which would permit the public offering of the financial instrument(s) in any other jurisdiction, except as indicated in the most recent prospectus of the relevant financial instrument(s), or on the website (under heading “our funds”), where such action would be required, in particular, in the United States, to US persons (as such term is defined in Regulation S of the United States Securities Act of 1933). Prior to any subscription in a country in which such financial instrument(s) is/are registered, investors should verify any legal constraints or restrictions there may be in connection with the subscription, purchase, possession or sale of the financial instrument(s).
Investors considering subscribing to the financial instrument(s) should read carefully the most recent prospectus and Key Information Document (KID) and consult the financial instrument(s’) most recent financial reports. These documents are available in the language of the country in which the financial instrument(s) is authorised for the distribution and/or in English as the case may be, on the following website, under heading "our funds"
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.
The performance data, as applicable, reflected in this material, do not take into account the commissions, costs incurred on the issue and redemption and taxes.
You can obtain this by clicking here: a summary of investor rights in French. BNP PARIBAS ASSET MANAGEMENT FRANCE may decide to discontinue the marketing of the financial instruments, in the cases covered by the applicable regulations.
“The sustainable investor for a changing world” reflects the objective of BNP PARIBAS ASSET MANAGEMENT France to integrate sustainable development into its activities, although not all funds managed by BNP PARIBAS ASSET MANAGEMENT France fulfil the requirement of either Article 8, for a minimum proportion of sustainable investments, or those of Article 9 under the European Regulation 2019/2088 on sustainability-related disclosures in the financial services sector (SFDR). For more information, please see
MESSAGGIO PUBBLICITARIO CON FINALITÀ PROMOZIONALE - Questo annuncio non costituisce un'offerta di vendita o una sollecitazione all'investimento. Si prega di prendere visione delle caratteristiche degli strumenti finanziari in offerta e dei rischi ad esso associati, presenti anche nell'informativa messa a disposizione da Directa ("Informativa pre-contrattuale", Sezione C – Informazioni sugli strumenti finanziari). ETF, ETC e ETN (ETP) e Certificati (Certificates) sono strumenti complessi, cui è associato un rilevante rischio di perdita del capitale investito, e nel cui prezzo possono essere inclusi costi impliciti. Directa consiglia pertanto di prendere visione della documentazione d’offerta dei prodotti e del documento KID/KIID, che descrivono le modalità di funzionamento, i costi ed i rischi a cui ci si espone effettuando l’investimento. L’espressione “leva finanziaria” (leverage) è usata per descrivere strategie di investimento volte a moltiplicare gli utili e le perdite potenziali. Investimenti con leva finanziaria potrebbero essere effettuati con lo scopo di ottenere possibili rendimenti più elevati, tuttavia la leva non amplifica solo i guadagni ma anche le eventuali perdite. L’investitore si trova anche esposto al rischio di estinzione anticipata dell’investimento e di perdita totale del capitale investito o persino superiore allo stesso. L’emittente retrocede a Directa una fee all’eseguito, classificabile come incentivo (inducement) ai sensi del Regolamento Intermediari Consob: per tale ragione, potrebbe verificarsi un conflitto d'interesse.