BNP PARIBAS ASSET MANAGEMENT USA, INC.

RIASEC RegisteredEst. 1975
Total AUM
$48.4B
Discretionary
$48.2B
100% of AUM
Avg account
$664M
Accounts
73
Employees
123
Advisory reps
9

Firm details

Headquarters
New York, New York
CRD number
105455
Registered since
February 14, 1975
Custodians
J.P. MORGAN SECURITIES INC., THE BANK OF NEW YORK MELLON, THE NORTHERN TRUST INTERNATIONAL BANKING CORPORATION
Fee structure
Percentage of AUM, Performance Based Fees
Client types
  • Sovereign Wealth Funds52.07%
  • Pooled Investment Vehicles35.3%
  • Other10%
  • Pension & Profit Sharing Plans1.04%
  • Corporations / Businesses1.04%
Services
Portfolio Management for Pooled Investment VehiclesPortfolio Management for Institutional Clients

Firm profile

FINTRX

Overview

BNP Paribas Asset Management USA, Inc. is the U.S. asset management arm of a global banking group that focuses on institutional mandates and pooled investment vehicles. The firm’s U.S. activity emphasizes fixed-income strategies, with a heavy allocation to U.S. government bonds, while also operating hedge fund strategies and managing pooled vehicles for institutional clients. It serves primarily institutional investors, employs a mix of percentage-of-AUM and performance-based fee arrangements, and is active on ESG considerations within its investment process. The firm is registered as an investment adviser in the U.S. and engages in commodity pool operator/commodity trading advisor (CPO/CTA) activities and portfolio management for both pooled vehicles and businesses or institutions. BNP Paribas Asset Management USA structures mandates across discretionary and non-discretionary formats and uses pooled vehicles alongside separate account management. Its product mix allows institutional clients to access both traditional fixed-income solutions and alternative exposures through external and internal fund structures.

Assets & Accounts

Investments & Alternatives

Location & Offices

Investment profile

FINTRX

Traditional investments used

Alternative investments used

Active ESG investor

Technology & operations

FINTRX

CRM & tech providers

TAMPs used

Clients

FINTRX

Client base

Client personas

Asset composition

Asset composition: US Government Bonds 62%, Sovereign Bonds 19%, Exchange Traded Equities 9%, Investment Grade Corp Bonds 8%, Cash & Cash Equivalents 3%, Non-Investment Grade Corp Bonds 1%, Derivatives 1%, Other 1%62%
  • US Government Bonds62%
  • Sovereign Bonds19%
  • Exchange Traded Equities9%
  • Investment Grade Corp Bonds8%
  • Cash & Cash Equivalents3%

Owners & executives

3 of 6
  • JOHANNA LASKER

    Chief Executive OfficerCRD 4158451

  • ELLA COHEN

    Chief Legal OfficerCRD 5226588

  • PIERRI SANDRO

    CEOCRD 6906332

Unlock 3 more executives

Contacts

3 of 3
  • SURESH SUBRAMANIAN

    Board MemberCRD 4899467

  • ROBERT HAWLEY

    Vice ChairmanCRD 828024

  • FLORENCE POURCHET

    CRD 6483374

Wealth teams

FINTRX

Newly hired reps

FINTRX

Recent M&A activity

FINTRX

Recent filings

FINTRX

Awards

FINTRX

Location

Primary office

New York, NY

NEW YORK

Location

New York, NY

Headquartered in New York, NY, anchoring the New York-Newark, NY-NJ-CT-PA metro in the Northeast.

Metro area
New York-Newark, NY-NJ-CT-PA
Region
Northeast
County
NEW YORK
Address
787 7th Ave
Time zone
ET (UTC-5)
Office locations

Similar firms

Source: FINTRX private wealth data intelligence

Intelligence for Private Wealth