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.
COVID-19: Accelerating the energy transition and driving climate-friendly investment opportunities
Global lockdowns have had a positive impact on the environment. But will the crisis help accelerate the transition towards renewable energy, and what might the investment implications be?
What risks does increased focus on ESG pose to fossil fuel and tobacco stocks?
Fossil fuels is the biggest contributor to the greenhouse gas emission and therefore to the rise in the global temperatures.
Impact Engagement Principles Delivering on the UN Sustainable Development Goals
AXA IM believes that significant positive societal impact can be generated through listed assets investment strategies.