BB Alternative Partners is an independent provider of services for institutional investors around the management of alternative investments. The company was founded in 2011 by two portfolio managers of a large German insurance company. We support our clients in planning and, in particular, in the operational implementation and monitoring of the investor’s allocations in the private markets. As such, our service offering ranges from strategy development, the selection of suitable fund programs and managers as well as support during the subscription process to ongoing portfolio management through monitoring and reporting. Our aim is to find the best individual and fully independent solution for our clients in a complex and challenging market environment.

We furthermore use our extensive regulatory knowledge to support fund managers in providing regulatory reports to their investors. We provide highly automated and high quality reports in accordance with Solvency II, Basel III-IV, VAG and SFDR.

As a reliable and independent partner, we use our many years of extensive experience to provide our services.

BB Alternative Partners is owner-managed and BAFIN-regulated.


Sabine Fischer and Alexander Bode lead a team of professionals highly specialized in alternatives and software programming. Both have around 20 years of industry experience in alternative investments. The Portfolio Advisory and Reporting teams work fully independently and are thus able to implement rapid solutions of high practical benefit and excellent quality for clients. The team's ESG expert always keeps an eye on the sustainability of the solutions and the software team ensures the highest possible efficiency for clients.

BB Alternative Team



We offer our clients the entire range of services to successfully invest in alternative assets. As an external, independent team, we provide valuable support and efficiently complement internal resources and know-how with our extensive experience in the allocation and management of alternative investments. Based on our broad network, continuous interaction with managers and our specific know-how regarding the challenging regulatory environment, we can ideally complement an internal team.

Strategy Development

Fund Selection

Fund and ESG-Scoring

Due Diligence


Portfolio Management


BB Alternative Partners offers advisory and reporting services in four regulatory areas for fund managers. This enables the strategy and selection of assets to be optimized regarding the capital requirements of various regulated investors, the marketing of the relevant fund products and high-quality reporting.

Solvency II

Basel III – IV





For BB Alternative Partners, the consideration of sustainability factors is an important part of its corporate philosophy. As an independent advisory firm for alternative assets, this is particularly important when selecting target funds. A strong integration of ESG (Environmental, Social & Governance) factored into the selection process serves as an essential building block to support our clients in building a private markets portfolio with long-term value stability. BB Alternative Partners is convinced that good ESG management and corresponding transparency are not only relevant in the context of comprehensive risk management, but also actively contribute to improving the risk-return profile.



Sabine Fischer
fon +49(0)221 914 092 40

Alexander Bode
fon +49(0)221 914 092 40