Welcome to AXA Investment Managers website for Institutional Investors
AXA IM: a long-term investment partner for institutional investors
As a part of the AXA Group, AXA Investment Managers (AXA IM) benefits from the strong backing of a global, well-resourced, stable parent company. This commitment allows us to invest in our business for the long term to the direct benefit of our clients. Having managed significant levels of assets for the AXA Group over many years, we are keenly aware of the technical and practical issues facing investors such as pension schemes and insurers - investing today for all our futures.
Find out more about our investment Solutions, including Efficient Investing, Cash-flow Driven Investing and Responsible Investing. To view information on our pooled fund range please visit our Fund centre. For more information on segregated portfolios and liability management then contact us.
26 March 2020
AXA IM's David Page - UK reaction: Chancellor Sunak completes support with package for self-employed
David Page, Head of Macro Research at AXA Investment Managers, comments on the UK government’s support scheme for the self-employed:Read more
26 March 2020
David Page, Head of Macro Research at AXA Investment Managers, comments on US Congress’ coronavirus response package: After a couple of weeks of battling, Congress finally agreed on a stimulus packag ...Read more
22 March 2020
David Page, Head of Macro Research at AXA Investment Managers, comments on the UK’s latest emergency measures announced during the Covid-19 crisisRead more
06 January 2020
A look at fixed income in 2019 and what the future could hold
Nick Hayes, Portfolio Manager, discusses the outlook for fixed income as well as the asset classes that fall within it.
17 December 2019
December Investment Strategy - It is getting (a bit) clearer
Good news on two major headwinds which defined 2019: trade war, and Brexit.
06 December 2019
ESG and intangibles: Driving value creation across companies
Demonstrating the value of robustly integrating environmental, social and governance (ESG) factors into investing is critical to the success and credibility of responsible investment.