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Capabilities Overview

Welcome to a whole new world of investment opportunity


As a leading European asset manager with over €1.71 trillion of assets under management, our vision is to set a new standard in asset management, converting scale, expertise and convictions into resilient outcomes.

Here is what that means for you:

Full asset class coverage at scale through one partner

A top-three European asset manager2, offering you a broad range of liquid and alternative investment solutions, enabling diversification and resilience across market cycles.

A global network of local experts in 35 countries

Combining global perspective with local market knowledge, uncovering the widest range of investment opportunities.

Powering ~€1.1trn in liquid asset classes

#2 European manager of active funds combined with our innovative ETF platform3. #3 European player in Fixed Income and Money Market4. Giving you the right strategy for every market situation all in one place.

Leading the alternative space in Europe with ~€300bn in assets

#1 in European alternatives and top 10 worldwide5 with a 25-year track record spanning private equity, infrastructure, real estate and alternative credit. Providing you with greater access to the full spectrum.

Resilient outcomes for a diversified client base

Solutions adapted to a wide range of your investment needs, leveraging our deep expertise in insurance, institutional, and retail and wealth partnerships.

Leading sustainable investing to meet client preferences

Expertise built on industry-wide collaboration and tailored strategies that address your evolving sustainability preferences across every asset class.

  • BNPP AM, as of 30/06/2026. Assets under management including assets under advisory.
  • Ranked #3 European asset manager, - BNPP AM analysis based on Broadridge source, June 2026.
  • BNPP AM analysis based on Broadridge source, June 2026
  • BNPP AM analysis based on Broadridge source, June 2026
  • BCG analysis based on AUM as of 31/12/24

    Disclaimer

    BNP Paribas Group's acquisition of AXA Investment Managers was completed on 1 July 2025, and AXA Investment Managers is now part of BNP Paribas Group.

    This website is published by AXA Investment Managers Australia Ltd (ABN 47 107 346 841 AFSL 273320) (“AXA IM Australia”) and is intended only for professional investors, sophisticated investors and wholesale clients as defined in the Corporations Act 2001 (Cth).

    This publication is for informational purposes only and does not constitute investment research or financial analysis relating to transactions in financial instruments, nor does it constitute on the part of BNP Paribas Asset Management or its affiliated companies an offer to buy or sell any investments, products or services, and should not be considered as solicitation or investment, legal or tax advice, a recommendation for an investment strategy or a personalized recommendation to buy or sell securities.

    Market commentary on the website has been prepared for general informational purposes by the authors, who are part of AXA Investment Managers. This market commentary reflects the views of the authors, and statements in it may differ from the views of others in BNP Paribas Asset Management.

    Due to its simplification, this publication is partial and opinions, estimates and forecasts herein are subjective and subject to change without notice. There is no guarantee forecasts made will come to pass. Data, figures, declarations, analysis, predictions and other information in this publication is provided based on our state of knowledge at the time of creation of this publication. Whilst every care is taken, no representation or warranty (including liability towards third parties), express or implied, is made as to the accuracy, reliability or completeness of the information contained herein. Reliance upon information in this material is at the sole discretion of the recipient. This material does not contain sufficient information to support an investment decision.

    All investment involves risk , including the loss of capital. The value of investments and the income from them can fluctuate and investors may not get back the amount originally invested.