Responsible Investing Solutions
At AXA Investment Managers, we believe Responsible Investing can deliver sustainable, long-term value for clients and create a positive impact on society. This has underpinned our work in developing investment solutions that incorporate ESG considerations across all asset classes.
We are fully committed to becoming a leader in Responsible Investing (RI) and supporting sustainable financial markets.
Responsible Investing takes centre stage
How can pension funds and other institutional investors incorporate ESG factors into their portfolio mix? Hear our AXA IM portfolio managers discuss how we approach ESG integration across asset classes: Sustainable Equities, Buy & Maintain Credit, Green Bonds and Real Assets.
Matt Christensen, Global Head of Responsible Investment
Our Responsible Investing team conducts ESG research that informs investment decision-making and active stewardship practices in order to increase our clients' long-term financial returns and ESG performance - such as reduced CO2 emissions or improved human capital management.
Responsible Investment is one component of our commitment to corporate responsibility.
13 November 2019
Carbon reduction: Moving away from carbon footprint towards carbon footpath
As concerns surrounding climate change continue to intensify, equity investors increasingly need to understand how this could impact their investment portfolios. In addition to obvious financial conc ...
08 November 2019
Just Transition: Managing the social impact of a low-carbon transition
‘Just transition’ is the name given to an emerging concept taking into account the social impact on these workers and communities of transitioning to a low-carbon economy.
01 November 2019
Demystifying portfolio construction for secured finance assets
It is only in the last few years that institutional investors have started to comprehensively consider the more niche alternative asset classes available to them.