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THE CHALLENGES
The performance of an asset class or fund varies from year to year and dispersions between the top and worst performers may vary dramatically.
High dispersion in asset class returns annually1
GLOBAL EMERGING MARKET EQUITIES
2008
+79%
+37%
2018
-53%
2009
2017
-15%

Best performing asset class for that calendar year

Worst performing asset class for that calendar year

1. Source: BNP Paribas Asset Management, as of end December 2019, in USD. For illustration purposes only. US Government refers to Bloomberg Barclays US Treasury Total Return Unhedged USD. US Credit Investment Grade refers to Bloomberg Barclays US Corporate Total Return Value Unhedged USD. US Credit High Yield refers to Bloomberg Barclays US Corporate High Yield Total Return Index Value Unhedged USD. Emerging Market Debt USD refers to JPMorgan Emerging Market Bond Index. US Equities refers to S&P 500. European Equities refers to MSCI Europe Index (USD). Asian Equities refers to MSCI AC Asia ex Japan Index (USD). Global Emerging Market Equities refers to MSCI Emerging Markets Index (USD).
Past performance is not indicative of current or future performance

1. Source: BNP Paribas Asset Management, as of end December 2019, in USD. For illustration purposes only. US Government refers to Bloomberg Barclays US Treasury Total Return Unhedged USD. US Credit Investment Grade refers to Bloomberg Barclays US Corporate Total Return Value Unhedged USD. US Credit High Yield refers to Bloomberg Barclays US Corporate High Yield Total Return Index Value Unhedged USD. Emerging Market Debt USD refers to JPMorgan Emerging Market Bond Index. US Equities refers to S&P 500. European Equities refers to MSCI Europe Index (USD). Asian Equities refers to MSCI AC Asia ex Japan Index (USD). Global Emerging Market Equities refers to MSCI Emerging Markets Index (USD).
Past performance is not indicative of current or future performance.
This chart is an extract of the full table, which displays a more comprehensive list of asset class returns across the years.

VIEW FULL TABLE HERE

1. Source: BNP Paribas Asset Management, as of end December 2019, in USD. For illustration purposes only. US Government refers to Bloomberg Barclays US Treasury Total Return Unhedged USD. US Credit Investment Grade refers to Bloomberg Barclays US Corporate Total Return Value Unhedged USD. US Credit High Yield refers to Bloomberg Barclays US Corporate High Yield Total Return Index Value Unhedged USD. Emerging Market Debt USD refers to JPMorgan Emerging Market Bond Index. US Equities refers to S&P 500. European Equities refers to MSCI Europe Index (USD). Asian Equities refers to MSCI AC Asia ex Japan Index (USD). Global Emerging Market Equities refers to MSCI Emerging Markets Index (USD).

2. Source: Morningstar, Singapore open-ended funds, as of 31 December 2019. For illustrative purposes only. In order to present an unbiased opinion, all BNP Paribas Asset Management funds have been removed from the comparison.

X
High dispersion in fund returns2
US EQUITIES
15.48%
0.52%
US FIXED INCOME
6.61%
-2.50%
Global Equities
13.77%
-1.38%
Global Emerging market equities
12.28%
-4.69%
Global Fixed Income
7.64%
-4.80%
Asian Equities
9.76%
0.44%
Asian Fixed Income
6.27%
-3.86%

Best performing fund for 5-year annualised returns

Worst performing fund for 5-year annualised returns

2. Source: Morningstar, Singapore open-ended funds, as of 31 December 2019. For illustrative purposes only. In order to present an unbiased opinion, all BNP Paribas Asset Management funds have been removed from the comparison.
Past performance is not indicative of current or future performance

2. Source: Morningstar, Singapore open-ended funds, as of 31 December 2019. For illustrative purposes only. In order to present an unbiased opinion, all BNP Paribas Asset Management funds have been removed from the comparison.
Past performance is not indicative of current or future performance.
This chart is an extract of the full table, which includes the funds’ volatility.

VIEW FULL TABLE HERE
As an investor, do you have these concerns?

What should I invest in?
When should I rebalance my portfolio?

How do I capture growth opportunities and
increase my capital in order to:

save for retirement

purchase my dream home

set aside funds for my child’s education

Do you face these issues?
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to analyse the market.
Inadequate time
to conduct in-depth research, monitor or rebalance portfolios.
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to best-of-breed fund managers.
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to build a diversified portfolio.
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