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Closed-ended Italian Real Estate Alternative Investment FundBNP Paribas Diversipierre - Class P Shares

FR0011513563

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Retail

Residential

    Investing in BNP Paribas Diversipierre (P)

    By choosing BNP Paribas Diversipierre (class P shares), you are investing in an OPCI real estate fund for retail investors that reflects our convictions on the European real estate markets and our commitments to socially responsible investment.

    Certification and awards

    • Prix de performance OPCI 2020 - BNPP REIM
    • Label ISR

    The hallmarks of BNP Paribas Diversipierre (P):

    • 1

      Varied types of assets, including property investment, with diversification across Europe.

    • 2

      Investment in physical real estate and in portfolio capital markets.

    • 3

      Access via life insurance correlated with an advantageous life-insurance tax and legal framework currently in force.

    BNP Paribas Diversipierre (class P shares) may be subscribed to as part of a life-insurance policy (unit-linked) from a list of partner insurers or in a securities account. It is open to all subscribers with a minimum initial subscription of €100.
    Please note that the addendum attached to the key investor information document (see below the BNP Paribas Diversipierre Documentation) contains specific information for Italian investors

    Disclaimer

    Key figures

    Company

    • 8 years

      recommended investment horizon

    • SFDR-8

      regulation (EU) 2019/2088 “SFDR” of the 27th November 2019

      at of 31/12/2022

    • 2/7

      risk level (SRI PRIIPS)

    • 0%

      temporary suspension of subscription fees

      since 15/07/2024

    Assets

    • €1,393m

      net assets

      at 30/09/2025

    • 14,979,611.0040

      shares

      at 30/09/2025

    • +0.71%

      annualized performance

      2015-2024

    • +0.72%

      volatility

      since 01/01/2025

    Our ESG approach

    Our environmental and social convictions

    The BNP Paribas Diversipierre (P) real estate fund takes a committed and sustainable approach to the selection and management of the physical real estate assets that it owns.

    The investment fund has obtained the “Label ISR” certification applying to real estate, having entered into force on the 23th July 2020 (Afnor certification N°2°2°/89188.1).

    Our commitments
    Our ESG approach
    i

    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.

    Risk indicator

    1

    2

    3

    4

    5

    6

    7

    + weak

    + high

    Annual costs if you exit after 1 year

    The amounts debited from your investment are intended to cover various types of costs. These costs depend on the value of your investment, the holding period, and the return of the product. To find out more about costs, refer to the detailed documentation.

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    Documentation

    Documents to consult