Publications

Our research and investment strategy teams carry out in-depth research and share their insights across AXA Investment Managers (AXA IM). These include the market commentaries and Eric Chaney's global outlook, which cover macroeconomic trends and forecasts. We also publish a number of research reviews such as our bi-annual research review Investment Acumen, and multi-expert booklets, which discuss the regulatory environment and impact for tomorrow's investors in the asset management industry.
 

News

16/05/2012 - Systemic risk again takes centre stage

Over the past month, risky assets nosedived on the back of more disappointing high frequency macro-economic data and, even more importantly, the unpleasant reminder of how important...

10/05/2012 - Taking stock of a new political landscape in Europe

The new French President and the cabinet that will emerge from the June general elections (second round on June 17th) will face both short- and long-term challenges.

03/05/2012 - China: inside the mechanics of soft landing

As expected, China reported "weak" GDP growth in the first quarter, of "just" 8.1%yoy.

26/04/2012 - Spain: the austerity gamble

After Greece got temporarily cauterized and the Italian government got "technocratised", Spain is the arena in which the latest chapter of the European crisis is being playing out. 

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19/04/2012 - Higher US Treasury yields: neither fast nor furious

Fixed income fund managers will most likely remember September 22, 2011 as the day 10-year Treasury yields hit a low of 1.72% when the Fed officially announced the beginning of Operation...

12/04/2012 - The global macro outlook

The recent widening of sovereign spreads in the €-area is not the harbinger of another systemic crisis, so far. We continue to ascribe a low probability (<5%) to the €-breakup scenario.

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Archives

Latest Investment Acumen

Read AXA IM's latest research
review
1722 KB PDF'

Latest Blue Book

View Eric Chaney's most recent
Blue Book
04/2012 1177 KB