Our responsible investing assets under management span all asset classes:
ESG concerns are embedded into AXA IM’s DNA. As such, all of our funds (excluding index and distribution funds) benefit from strong internal responsible investment policies, active engagement and proxy voting. In addition, an ESG scorecard is available for all AXA IM funds.
Our ESG analysis is integrated across all of our investment platforms which allows our various investment teams to take account of ESG risks and opportunities when making investment decisions, tailored to clients’ objectives.
There are also ESG-specific strategies for interested investors, including: ESG global SmartBeta equity, ESG themed active management, ESG Buy & Maintain credit, thematic bond funds and a number of ESG multi-asset strategies.
A step further in Responsible Investment, our impact offerings aim to make an intentional, positive and measurable impact on society. They address societal challenges in specific themes and sectors, via both liquid and illiquid funds and tailored mandates.
Matt Christensen, Global Head of Responsible Investment