Videos

Our experts' videos
AXA Investment Managers is an active, long-term, global, multi-asset investor offering a broad range of high quality funds which invest in a variety of different sectors.
Listen to our experts from our investment and research teams discuss key topics and updates on fixed income, equities and other key asset classes on the video player below.
Quick Take with Nick Hayes
What has worked well or not for the strategy this year?
Quick take with Pepper Whitbeck - December 2020
Has the US election results delivered the best possible scenario for markets?
The COVID-19 recovery path: The future for the global economy and financial markets
Nobel prize winning economist Joseph Stiglitz shared his views on the COVID-19 recovery path, the future of the global economy and financial markets with AXA IM clients in October.
Unconstrained and total return approach in Fixed Income
Nicolas Trindade, Senior Portfolio Manager, gives his take on fixed income and where opportunities may lie.
Can opportunities still be found in the UK market?
In this interview, Chris St John, Portfolio Manager for UK mid- and multi-cap strategies, discusses the effects of the pandemic on the UK market, and companies’ response to the fall in demand. Chris ...
Reasons to be optimistic about fixed income in spite of the COVID-19 crisis
The global spread of COVID-19, and lockdown measures put in place to tackle it, has undoubtedly impacted global financial markets, with some comparisons being drawn to the global financial crisis in ...
AXA IM’s High Yield Market and Strategy Update- 18 May 2020
On Monday 18 May, AXA IM's Global Head of High Yield and US Active Fixed Income, Pepper Whitbeck, provided an update on the global high yield market and shared current investment opportunities as ...
COVID-19 Impact: AXA IM’s macroeconomic and investment strategy update – lifting the lockdown
The COVID-19 crisis continues to cause significant volatility.
COVID-19 Impact: AXA IM’s macroeconomic and investment strategy update – biotechnology and healthcare special
The COVID-19 crisis continues to cause significant volatility. This is an exceptional and defining time for the global economy, but policymakers and central banks are taking decisive action to steady ...
COVID-19 Impact on UK Equities
During the latest webinar, Chris St John and Dan Harlow discussed what impact the COVID-19 pandemic has had on their portfolios and the wider market, and what they believe this could mean for UK equi ...
COVID-19 Impact: AXA IM’s macroeconomic and investment strategy update – the economic rebound
The COVID-19 crisis continues to cause significant volatility.
How to de-risk your fixed income allocation whilst aiming to maintain an attractive yield ?
Nicolas Trindade, Senior Fixed Income Portfolio Manager, explains why a global short duration strategy appears so appealing right now given geopolitical risks amid global slowdown.