The asset manager for a changing world
BNP PARIBAS ASSET MANAGEMENT - Finance 3 1440x300

Stay updated on our funds

 

Net asset value (NAV) updates

Keen to keep a close eye on the performance of the fund or funds of your choice?

Register for our easy-to-use email service to receive daily updates on the NAV of the investment you have chosen.

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Here is how it works:

  1. Select the NAV tab on the fund sheet
  2. Click on the subscription button on the right
  3. Select the share class and submit your email address

Alert on document updates

Do you want to be notified when documents related to your fund or funds are updated?

Register here and on every 25th of the month you will receive an e-mail that updates you on the status of the documents that matter to you.

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Here is how it works:

  1. Select the documents tab on the fund sheet
  2. Click on the subscription button on the right
  3. Select the documents you want to follow and submit your email address