Welcome to the IPE Reference Hub. This site uses cookies. Read our policy.

BNP Paribas Asset Management

2023 Top 500 ranking: 34

*A low volatility equity strategy that can resist rising rates and inflation*

A low volatility equity strategy that can resist rising rates and inflation

BNP Paribas Asset Management’s proprietary low volatility equity strategy is designed to be insensitive to changes in interest rates and inflation. With many central banks now raising their policy rates to control surging inflation, this distinguishing feature has probably never been more important.

This is premium content

You are not logged in, Sign in or register to request access. 
Please note: If you had prior access to this content you may need to sign in again.

Asset Owners

If you are an institutional investor you are eligable for free access to all premium content.


Asset Managers

Asset managers with enhanced profiles are eligable for full access.

Please sign-in using your work email address or:



Premium subscription 

Investment services

Non-asset management investment service providers are able to purchase a subscription for access to premium content such as:

  • Latest industry thought leadership, news and research from the managers
  • Research and asset class or investment theme

Get access to premium content subscribe today