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.
11 June 2020
US reaction: Fed continues to consider its options, while committing to be in it for "however long it takes"
Policy was unchanged with FFR at 0.0-0.25%, forward guidance remained unchanged and the Fed committed to at least maintain the current pace of asset purchases.Read more
19 May 2020
Théo Kotula and Marie Fromaget, Responsible Investment Analysts at AXA Investment Managers, comment on COVID-19 bonds and how this new asset class can help finance the fight against coronavirusRead more
15 May 2020
Outlook for the green bond market looks promising following a compelling start to 2020 in difficult market conditions
Johann Plé, portfolio manager at AXA Investment Managers, comments on the outlook for the green bond market.Read more
B&M Strategy Update. How credit trading dynamics adapted to the COVID-19 crisis
The UK has moved past the peak in new daily COVID-19 cases and in the death rate, which has allowed some easing of restrictions, but the UK is not typical in Europe and has seen a relatively protract ...
AXA IM Glide Path: Efficient and flexible design towards retirement
The shift from DB to DC plans is a major trend in global pension markets. Target-date strategies, the default investment solution for most DC plans, will be subject to heavier saver protection regula ...
How can fixed income investors navigate ongoing volatility due to COVID-19?
Nick Hayes says it comes down to active management, security selection and diversification of risks.