A diversity of typologies and locations in Europe for a better spread of risk.
94,16€
Net Asset Value5
2/7
level of risk (SRI PRIIPS)6
0%
subscription fees paid to the fund7
Art. 8
règlement SFDR
A performance-driven way to invest in European real estate
Europe is an ecosystem of interconnected and inter-influencing cultures. Acting with agility, we embrace this diversity while delivering financial performance and ensuring risk management. We carefully innovate to best adapt to the needs and risks of today and tomorrow. BNP Paribas REIM structures all real estate strategies allowing clients to invest in European real estate and to help you meet your objectives. And our local teams in 17 countries ensure proximity and specialised knowledge.
BNP Paribas REIM has 60 years’ experience managing real estate assets for private investors across Europe, with a strong focus on sustainability performance. Today, we manage approximately €10.7 billion in real estate assets on behalf of around 140,000 primarily Europe-based private investors. Our strategies are structured to simplify European real estate investing for private clients to help them meet their goals. The solutions we offer vary according to the rules and practices of each country and jurisdiction.
“BNP Paribas REIM caters to private investors by offering a range of tailored investment solutions designed to meet their specific needs and preferences. Our investment management service offering seamlessly integrates the entire life cycle of real estate investment.
Our comprehensive approach covers all sectors and European countries, offering joint ventures or separate mandates tailored to individual investment horizons. Whether investors are seasoned or new to the market, we provide inclusive solutions to help our clients achieve their financial goals.”
CEO Luxembourg and Chief Client Officer Investment Management chez BNP Paribas Real Estate
Contact UsA diversity of typologies and locations in Europe for a better spread of risk.
94,16€
Net Asset Value5
2/7
level of risk (SRI PRIIPS)6
0%
subscription fees paid to the fund7
Art. 8
règlement SFDR
A diversity of typologies and locations in Europe for a better spread of risk.
95,12€
Net Asset Value5
2/7
level of risk (SRI PRIIPS)6
0%
subscription fees paid to the fund7
Art. 8
règlement SFDR
5, 6 and 7 Definitions of Net Asset Value , risk indicator (SRI PRIIPS) and Subscription fee
5. Net Asset Value : In euros per share.
6. risk indicator (SRI PRIIPS): The synthetic risk indicator is ranging from 1 to 7 (from lower risk to higher risk). In general, the investments with the highest potential return are also the riskiest. The higher the risk, the longer the recommended investment horizon. The SRI indicator is based on the historical volatility of the portfolio over the last 5 years.
7. Subscription fee: Since 15/07/2024, temporary suspension of subscription fees paid to the fund