
BNP Paribas Wealth Management Our Investment Strategy for November 2025
Nov 13, 2025
Join Edmund Shing, Global Chief Investment Officer at BNP Paribas Wealth Management, as he shares insights into the investment landscape for November 2025. He discusses the ongoing bull market, highlighting favorable conditions for equities, especially in Japan and the UK. Edmund also examines the implications of falling US interest rates and potential concerns in the private credit market. While precious metals face a corrective phase, he suggests keeping an eye on buying opportunities. His key investment picks include European-listed infrastructure and global health care.
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Nervous Bull On Global Stocks
- Edmund Shing describes himself as a "nervous bull" on equities despite worries about AI concentration and changing business models.
- He stresses liquidity and earnings remain supportive, so staying invested in global stocks is warranted.
Big Tech Shifting To Capital-Heavy Models
- Edmund warns that big tech are shifting from capital-light to capital-intensive businesses as they borrow to fund AI data centres.
- He notes historically companies needing heavy ongoing investment tend to underperform capital-like businesses.
Monitor Private Credit Indicators
- Watch private credit issues closely but do not assume systemic contagion yet.
- Monitor regional US banks, listed BDCs, and fund providers and become defensive if those indicators collapse.
