IPE Madrid
December 2-3, 2021
What next for inflation?
The recovery from the pandemic shock has brought supply chain disruption, raw materials shortages and spikes in consumer demand. Prices have headed higher in response, and for longer than most people had thought. As institutional investors wrestle with how to deal with inflation pressures, read how we see the road ahead with Jonathan Baltora, Head of Sovereign, Inflation & FX.
Focus on climate
The COP26 meeting in Glasgow has received mixed reviews, but it has also confirmed the direction of travel: Governments and companies are pursuing alignment with net zero by 2050. That has major implications for investors, particularly institutions focused on long-term horizons. Hans Stoter, Global Head of Core Investments, set out our vision for a partnership between asset managers and pension funds during the World Climate Summit in Scotland last month.
Our speaker: Gilles Moec
Gilles Moëc, Group Chief Economist and Head of Research, will be speaking as part of the panel: Investors and the Post COP26 Agenda on 2 December, 11.10 AM - 12.10 PM
Gilles is also head of Responsible Investment activities with responsibility for research, thought leadership, engagement and active ownership. He graduated from the Institut d’Études Politiques de Paris before moving on to several positions in the French civil service, notably as head of the International Economics Division of Banque de France. In 2006, he was appointed Senior European Economist at Bank of America then in 2009 he became Deutsche Bank’s Chief European economist. From 2014 to 2019 he was Chief European Economist at Bank of America Merrill Lynch.
Buy and Maintain credit is our flagship fixed income strategy
Our B&M strategies fully integrate ESG factor analysis, helping our clients to access the investment grade credit markets while aiming to protect against risks linked to environmental, social and governance issues.
These strategies actively seek to enhance the returns from the investment grade credit market over the longer term via intelligently constructed and highly diversified portfolios. We aim to maximise value by monitoring and mitigating against costs from turnover and transactions.
Buy & Maintain
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AXA IM and BNPP AM are progressively merging and streamlining our legal entities to create a unified structure
AXA Investment Managers joined BNP Paribas Group in July 2025. Following the merger of AXA Investment Managers Paris and BNP PARIBAS ASSET MANAGEMENT Europe and their respective holding companies on December 31, 2025, the combined company now operates under the BNP PARIBAS ASSET MANAGEMENT Europe name.