AXA Fixed Income

AXA Investment Managers (AXA IM) is one of the world's major Fixed Income investors. With offices in Paris, London, Greenwich Connecticut and Singapore, our 90 strong investment team offers a comprehensive service across the entire fixed income spectrum. Aggregate, Inflation Linked and Credit strategies are particular strengths, with short duration high yield service being distinctive and innovative offerings.

Our links with our Parent, the AXA Group, make us a leading provider of Solvency II related investment solutions. Our success is based upon the simple principles that fixed income fund management should be conservative and risk averse, and that protection of capital and generation of income are critical to long term market outperformance. We offer a wide range of retail and institutional services as well as bespoke portfolios for an international customer base.


Why AXA Fixed Income?

AXA Fixed Income takes a practical, conservative approach to investing, and has strong investment beliefs. Preservation of capital is central to our management philosophy and risk control lies at the heart of our investment process.

  • Proven investment process focused on achieving repeatable, regular incremental gains,
  • Stable global organisation supporting local investment expertise,
  • 90 investment professionals in four key geographical locations,
  • Dedicated research team,
  • Dedicated portfolio engineering team to ensure optimal portfolio structure and risk profile,
  • Portfolio manager-analyst model ensures individual accountability, personal service,
  • Recognized industry experts and innovators: "Redex" share classes, anti inflation strategies, Solvency II solutions,  short duration credit  expertise,
  • Teamwork, responsibility and accountability are core principles


AXA Fixed Income has also received a number of industry awards for its outstanding expertise.


Our Products

The AXA Fixed Income range is designed to provide investors with scope and flexibility. As such it embraces global, regional, country specific, strategic and defensive strategies, ranging from single currency government bond funds to highly specialized short duration portfolios, high yield and emerging market funds. We are experts in the management of portfolios affected by Solvency II and other regulatory regimes. Key to our success has been our focus upon building regular, long term investment performance.

Theodora ZemekThe AXA Fixed Income philosophy underpins a ‘keep it simple' investment approach aimed at generating consistent, incremental income returns while,
at the same time, protecting investor capital.

 
Theodora Zemek
Global Head of Fixed Income

Key figures

EUR 275.9 billion under management as at 31 December 2011

Access to our regional offers