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Real Experts, Real People, Real Assets
AXA IM - Real Assets is fully part of AXA Investment Managers, the Asset Management arm of the AXA Group, a world leader in global insurance and financial protection.
Through a wide range of investment solutions, from commingled funds and joint ventures, to separate accounts and tailor-made investment vehicles, and from regional to country-specific investment strategies, we manage €77 billion1 on behalf of our 200+ third-party institutional clients as well as AXA Insurance Companies.
AXA IM - Real Assets is a global leader in real asset investments, the number 1 portfolio and asset manager in Europe in direct property2, and among the largest worldwide.
We provide proven investment capabilities in equity or debt, across different geographies and sectors, and via private or listed instruments.
Our teams have 30 years' experience managing funds and mandates, comprising around 650 people in 14 offices around the world, operating in over 20 countries and providing us with in-depth knowledge of countries, cities and sectors.
Our teams leverage our longstanding experience, strong convictions, and thorough understanding of capital structure to build strategies for our clients across the spectrum of real assets, and deliver targeted returns commensurate with their risk profiles.
2 Source: INREV/ANREV Fund Manager Survey – May 2018. Rankings based on non-listed direct real estate assets under management.
KEY FIGURES - INVESTMENT STRATEGIES - REAL ASSET - Our Real Assets Key figures as at 30/06/2018
Our Real Assets key figures
of assets under management*
years of experience
Source: AXA IM – Real Assets data (unaudited) at 06/30/2018.
*The total AUM figure includes £3.3bn of real estate listed equities managed by Framlington Equities.
** Source: INREV Fund manager survey - May 2018
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“Our 360° real assets investing approach provides us with a thorough understanding of relative value in real assets markets. Combined with our global footprint, it allows us to provide our clients with agility in their real assets allocation. This unique approach is critical when navigating across the different phases of market cycles."