BBL Asset Management Company Limited (BBLAM) was founded in 1992 as a broadly-diversified investment management company committed to offering investors superior fund performance. BBLAM is supported by Bangkok Bank Public Company Limited as a major shareholder.

BBLAM has operated for more than 20 years in providing and managing various types of mutual fund services across fixed income, equity, asset allocation strategies real estate, provident fund, and private fund. Also, BBLAM is responsible for managing services in industrial estate, office building, residential and retails.

Management Philosophies

Aligned – Alongside – Always

BBL Asset Management Company Limited (BBLAM) was founded in 1992
as a broadly-diversified investment management company committed to offering investors superior fund performance.
BBLAM is supported by Bangkok Bank Public Company Limited as a major shareholder.

BBLAM has operated for more than 20 years in providing and managing various types of mutual fund
services across fixed income, equity, asset allocation strategies real estate, provident fund, and private fund.
Also, BBLAM is responsible for managing services in industrial estate, office building, residential and retails.

Vision

To be an institution that investors trust with the management of their financial assets in strict accordance with the clients' interests.

Mission Thai households toward financial stability
Core Values
PIE

Prudence

Being prudent and provident.
P

Integrity

Adhere to a code of ethic and integrity.
I

Excellence

Having an excellency on being your true best friend in investment.
E
Philosophy

We seek for the long-term and steady returns with the prudent and optimal-risk investment.

Process

for Good Performance:

Our principle for bond picking focuses on good standard of factors including the clarity of an ability to make profits which is harmonized with "Good Stock + Good Trade = Good Performance" that we have been adhered to.

Good Stock + Good Trade = Good Performance
People

Our people work as a team with a passion on investment and a happiness from working atmosphere.

Our people must understand and believe in our investment philosophy with the enthusiasm to create excellent productivity for investors and must closely follow up with the diversity of situations both domestically and internationally. We classify our people by their specialization on various classes of Asset and matching them as teams for example, Fund manager team and analysis team on Stock, international and domestic Debt Instruments, Oil and Gold, as well as Industry. These activities are daily performed and shared for sharpening investment ideas including daily communicated to the Marketing team so as to forward to investors with friendly language.