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How to capitalise on euro credit opportunities in evolving markets
Fund Manager Views Fixed Income

How to capitalise on euro credit opportunities in evolving markets

  • by AXA Investment Managers
  • 13 May 2024 (5 min read)
Investment Strategy Updates
Euro Long-Term Credit
Fund Manager Views Fixed Income

Euro Long-Term Credit

  • by Benoit Guerineau, Pauline Parent
  • 09 May 2024 (5 min read)
Investment Strategy Updates
Vidéo: Opportunities for High Yield Investors
Fund Manager Views Fixed Income

Opportunities for High Yield Investors

  • by Mike Graham
  • 10 April 2024 (3 min read)
Investment Strategy Updates
US High Yield Comments
Fund Manager Views Fixed Income

US High Yield Comments

  • by AXA Investment Managers
  • 10 April 2024 (3 min read)
Investment Strategy Updates
Can euro credit withstand the expected macro turbulence?
Fund Manager Views Fixed Income

Can euro credit withstand the expected macro turbulence?

  • by Gonzague Hachette
  • 27 March 2024 (5 min read)
Investment Strategy Updates
Fixed income investors have the power to engage
Fund Manager Views Fixed Income

Fixed income investors have the power to engage

Investment Strategy Updates

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Risks

No assurance can be given that our fixed income strategies will be successful. Investors can lose some or all of their capital invested. Our unconstrained fixed income strategies are subject to risks including counterparty risk, operational risk, liquidity risk, credit risk, and the impact of any techniques such as derivatives. The use of such strategies may also involve leverage, which may increase the effect of market movements and may result in significant risk of losses.

    Disclaimer

    This marketing communication does not constitute on the part of AXA Investment Managers a solicitation or investment, legal or tax advice. This material does not contain sufficient information to support an investment decision.

    Due to its simplification, this document is partial and opinions, estimates and forecasts herein are subjective and subject to change without notice. There is no guarantee forecasts made will come to pass. Data, figures, declarations, analysis, predictions and other information in this document is provided based on our state of knowledge at the time of creation of this document. Whilst every care is taken, no representation or warranty (including liability towards third parties), express or implied, is made as to the accuracy, reliability or completeness of the information contained herein. Reliance upon information in this material is at the sole discretion of the recipient. This material does not contain sufficient information to support an investment decision.

    Issued in the UK by AXA Investment Managers UK Limited, which is authorised and regulated by the Financial Conduct Authority in the UK. Registered in England and Wales No: 01431068. Registered Office: 22 Bishopsgate London EC2N 4BQ

    In other jurisdictions, this document is issued by AXA Investment Managers SA’s affiliates in those countries.

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    *figure as of September 2023
    [1] Source: AXA IM, as at 31/12/2022
    [2] Source: AXA IM, Morningstar, as of May 2023 . Data based on cross-border funds over 5 years