BRD Asset Management
BRD Asset Management SAI SA is Romania's largest open-end investment fund manager and a subsidiary of BRD Groupe Société Générale, managing ~RON 10.8 billion across 12 funds in RON, EUR, and USD for retail and institutional investors via bank-branch and online distribution.
- Company typePrivate
- Founded2000
- HeadquartersBucharest, Romania
- Headcount11–50
- GTM typeB2C
- OfferingServices
What BRD Asset Management does
BRD Asset Management SAI SA is a Romanian open-end investment fund manager and a wholly-owned subsidiary of BRD Groupe Société Générale. Founded in 2000 as SG Asset Management SAI and rebranded in 2008 following Société Générale's increased stake in BRD, the company operates from Bucharest and serves as Romania's largest open-end investment fund manager with approximately 25% market share and ~RON 10.8 billion (~EUR 2.2 billion) in assets under management as of mid-2026. Its product shelf comprises 12 distinct funds spanning fixed income (BRD Simplu, BRD Euro Simplu, BRD USD Simplu, BRD Simfonia, BRD Euro Fond, BRD Obligațiuni), equities (BRD Acțiuni, BRD Global), diversified strategies (BRD Diverso, BRD Oportunități), and target-date vehicles (BRD Orizont 2035, BRD Orizont 2045), offered in RON, EUR, and USD currency classes and supplemented by automated investing (PlanInvest), goal-planning, and online trading tools. The technology stack is centered on a proprietary online trading platform (online.brd.ro) operating 24/7/365, integrated with BRD bank accounts; no AI/ML capabilities are disclosed, and portfolio management is discretionary under CFA-qualified investment leadership.
The business model is a recurring-fee asset management model: revenue derives from management, custody, and operational fees calculated as a percentage of AUM, with no subscription or redemption commissions charged to investors. Distribution combines the BRD bank branch network for advisory-led sales with self-serve digital channels (online platform and bank transfer) for existing clients. Customer segments are dominated by Romanian retail investors, supplemented by corporate and institutional treasury clients; no concentration risk is evident from the disclosed client mix. A pending acquisition of 99.9944% of Patria Asset Management (announced March 2026, subject to ASF approval) would add ~RON 1.16 billion in AUM and bring a leading local ETF franchise under the BRD umbrella.
BRD Asset Management firmographics
Firmographics- Name
- BRD Asset Management
- Legal name
- BRD Asset Management SAI SA
- Website
- https://brdam.ro
- Company type
- Private
- Founded year
- 2000
- Operating status
- Operating
- Headcount range
- 11–50 employees
- Short description
- BRD Asset Management SAI SA is Romania's largest open-end investment fund manager and a subsidiary of BRD Groupe Société Générale, managing ~RON 10.8 billion across 12 funds in RON, EUR, and USD for retail and institutional investors via bank-branch and online distribution.
- Ownership category
- akta.pro rank
BRD Asset Management industry classification
Industry- Product category
- Asset Management / Open-End Investment Funds
- NAICS
- Open-End Investment Funds (525910), Portfolio Management and Investment Advice (523940), Open-End Investment Funds (52591)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Multi-Asset Mutual Funds & UCITS (Balanced/Allocation Funds) (FSAAAJAA)
Keywords
Where BRD Asset Management is headquartered
LocationHeadquarters
- HQ city
- Bucharest
- HQ country
- Romania
- HQ region
- Europe
Offices1 record
Markets served
BRD Asset Management business model
Business model- GTM type
- B2C
- Offering type
- Services
- Cost components
- Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure
Revenue model
- Investment Fund Management Fees: BRD Asset Management generates revenue through management fees charged on assets under management across its open-ended investment funds. The fees are calculated as a percentage of assets under management (AUM) and vary by fund type. The company also earns deposit, custody, and other operational fees from fund operations.
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Other | Monthly | No subscription or redemption fees charged |
Go-to-market motion1 record
Distribution channels3 records
Marketing channels5 records
BRD Asset Management product offering
Product offeringCore offering
BRD Asset Management manages a portfolio of open-ended investment funds in Romania, covering fixed income, equity, diversified, and target-date categories, denominated in RON, EUR, and USD. Funds can be subscribed through the BRD bank branch network or 100% online 24/7/365. The company also provides automated monthly investment plans (PlanInvest), financial planning tools, and investment education resources. The firm manages approximately RON 10.8 billion in assets and is part of BRD Groupe Société Générale.
Product overview
BRD Asset Management is Romania's largest open-end investment fund manager, part of BRD Groupe Société Générale. The company offers a comprehensive portfolio of 12 distinct investment funds (some with multiple currency classes) managed through an open-ended fund structure. The product lineup includes fixed income funds (BRD Simplu, BRD Euro Simplu, BRD USD Simplu, BRD Simfonia, BRD Euro Fond, BRD Obligațiuni), equity funds (BRD Acțiuni, BRD Global), diversified/mixed funds (BRD Diverso, BRD Oportunități), and target date funds (BRD Orizont 2035, BRD Orizont 2045). Supplementary services include PlanInvest for automated monthly investing, investment calculators, Goal Planner, and financial education resources. The company manages approximately RON 10.8 billion in total assets.
Differentiator
Problem solved
Functional benefit
Brands
- PlanInvest: A systematic investment plan service allowing monthly automatic investments in any of BRD Asset Management's funds directly from a BRD bank account
- Goal Planner
Products and services
- BRD Simplu Open-ended fixed income investment fund investing primarily in bank deposits up to 100%, with a low risk profile (1/7). Minimum recommended period of 1 month. For retail and institutional investors seeking very low-risk, short-horizon exposure.
- BRD Euro Simplu Euro-denominated open-ended fixed income fund with up to 100% invested in deposits, risk level 2/7. Targeted at investors seeking short-horizon, low-risk EUR exposure.
- BRD USD Simplu USD-denominated open-ended investment fund with a diversified portfolio primarily in bond markets, risk level 1/7. For investors seeking minimal risk USD exposure.
- BRD Simfonia Open-ended fixed income fund investing in deposits, certificates of deposit, and government securities, risk level 3/7. The company's longest-running fund, for conservative investors with medium horizons.
- BRD Euro Fond Euro-denominated diversified fund primarily investing in bond markets and money market instruments, risk level 3/7. For investors seeking medium-risk EUR-denominated fixed income exposure.
- BRD Obligațiuni Open-ended fixed income fund investing in government and corporate bonds, risk level 2/7. Targeted at investors seeking diversified bond exposure across Romanian public and private issuers.
- BRD Acțiuni Equity fund investing predominantly (up to 90%) in Romanian stocks with 10% in other assets. Available in RON (Clasa A) and EUR (Clasa E) currency classes, risk level 3/7. For investors seeking exposure to the Romanian equity market.
- BRD Diverso Diversified (mixed-asset) open-ended fund investing across multiple asset classes. Available in RON (Clasa A) and EUR (Clasa E) classes, risk level 3/7. For investors seeking balanced multi-asset exposure.
- BRD Global Equity fund investing predominantly in mature international markets including the US, Europe, and Japan. Available in RON (Clasa A), EUR (Clasa E), and USD (Clasa U) classes, risk levels 3-4/7. For investors seeking global diversification through a single multi-currency vehicle.
- BRD Oportunități Flexible-allocation open-ended fund denominated in RON, EUR, and USD, with a dynamic asset allocation strategy, risk level 3/7. For investors seeking manager-driven opportunistic allocation across asset classes and currencies.
- BRD Orizont 2035 Target-date fund with a preset 2035 horizon and dynamic asset allocation: investments gradually shift from equities to conservative instruments as the target date approaches. Available in RON and EUR classes, risk level 3/7. For investors with retirement or goal-based horizons around 2035.
- BRD Orizont 2045 Target-date fund with a preset 2045 horizon and dynamic asset allocation that shifts from equities to conservative instruments over time. Available in RON and EUR classes, risk level 3/7. For long-horizon investors with goals around 2045.
- BRD USD Fond USD-denominated open-ended investment fund, the first USD-denominated fund administered by BRD Asset Management.
- PlanInvest Automated monthly investment subscription service that allows investors to set up automatic recurring transfers from their BRD bank account into selected investment funds, enabling disciplined dollar-cost averaging without manual intervention. For BRD banking customers who want to invest on a recurring basis.
Quantifiable outcome
- Managed funds grew more than twentyfold over five years for Patria Asset Management (acquisition target)
- +2 more outcomes
Companies that use BRD Asset Management
Customer profileSegments2 records
Ideal customer profiles2 records
BRD Asset Management technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Feature4 records
BRD Asset Management partnerships and signals
Strategic signalPartnerships
One partnership is on record.
- Patria BankcoreBRD Asset Management signed an agreement to acquire 99.9944% of Patria Asset Management from Patria Bank, pending regulatory approval from ASF. Patria Asset Management managed RON 1.16 billion (EUR 220 million) in assets at the end of February 2026, having grown more than twentyfold over five years driven by ETF-type funds listed on the Bucharest Stock Exchange. The acquisition will consolidate BRD Asset Management's position as Romania's largest open-end investment fund manager.
Scale indicators5 records
Recent moves6 records
Expansion highlights5 records
BRD Asset Management competitors and assessment
Company assessmentMarket position
Competitive moat5 records
Key highlights7 records
Customer concentration
BRD Asset Management social profiles
Digital presenceBRD Asset Management financial estimates
Financial estimateRevenue estimate
Valuation estimate
BRD Asset Management leadership team
Management profileNumber of profiles
Profiles9 records
BRD Asset Management subsidiaries and ownership
Company hierarchySubsidiaries1 record
BRD Asset Management funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
BRD Asset Management M&A and investment
M&A and investmentM&A1 record
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about BRD Asset Management
What does BRD Asset Management do?
BRD Asset Management manages a portfolio of open-ended investment funds in Romania, covering fixed income, equity, diversified, and target-date categories, denominated in RON, EUR, and USD. Funds can be subscribed through the BRD bank branch network or 100% online 24/7/365. The company also provides automated monthly investment plans (PlanInvest), financial planning tools, and investment education resources. The firm manages approximately RON 10.8 billion in assets and is part of BRD Groupe Société Générale.
Is BRD Asset Management a public or private company?
BRD Asset Management is a private company. It is classified as corporate owned and is currently operating.
When was BRD Asset Management founded?
BRD Asset Management was founded in 2000. It employs 11 to 50 people.
Where is BRD Asset Management based?
BRD Asset Management is headquartered in Bucharest, Romania, in the Europe region.
How does BRD Asset Management make money?
One revenue line is on record: investment Fund Management Fees.
Does BRD Asset Management have an API?
No public API is recorded for BRD Asset Management.
What industry is BRD Asset Management in?
BRD Asset Management's product category is Asset Management / Open-End Investment Funds. Its primary akta.pro industry code is FSAAAJAA, Multi-Asset Mutual Funds & UCITS (Balanced/Allocation Funds). Its NAICS code is 525910 and its SIC code is 6282.