Products
BNP Paribas Funds Euro Inflation-Linked Bond
(Mutual) Fund
in category EAA Fund EUR Inflation-Linked Bond
General info
Product type
(Mutual) Fund
Domicile
Luxembourg
Investment Area
Euroland
Category
EAA Fund EUR Inflation-Linked Bond
Latest Update
15/01/2026
Summary Risk Indicator
1
3
7
Low risk
Typically lower return
High risk
Typically higher return
Asset allocation
Bond
98%
Liquidities
2%
Issuers
Corporates
1%
Sovereign
52%
Other
46%
SFDR disclosure information
SFDR disclosure information
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Environment & social characteristics
100%
Sustainability strategies used
Sustainability strategies used
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-
ESG integration
ESG integration
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ESG due diligence using the 'double materiality' perspective -
Norms & standards
Norms & standards
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Respect for international norms & standards -
Exclusions
Exclusions
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Exclusion of harmful activities -
Stewardship
Stewardship
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Engaging in a dialogue with and/or exercising voting rights in the companies invested in -
Better than the benchmark
Better than the benchmark
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Building the investment portfolio so that overall it scores better than a benchmark on one or more ESG indicators
Exposure to controversial sectors
Exposure to controversial sectors
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Adverse impact indicators
Adverse impact indicators
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Corporates
Sovereigns
Sustainability impact
Impact themes
Impact themes
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Climate action
0%
Resource security
0%
Healthy ecosystems
0%
Basic needs
0%
Human development
0%
Top 3 SDGs
Top 3 SDGs
Top 3 SDGs
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Data not yet available.
EU taxonomy
EU taxonomy
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EU Taxonomy alignment
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Other portfolio details
| Question | Answer |
|---|---|
| Can derivatives be used in the portfolio management? | |
| Does the portfolio contain use-of-proceeds instruments? | |
| Can the product practice securities lending? | |
| Does the product practice short selling? | |
| Does the product invest in unlabelled underlying products? |
ISIN Codes
LU0190304583; LU0190304740; LU0190305473; LU0190305630; LU0190306364; LU0190307842; LU0823381792; LU0956002801
Social violations
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