Two approaches, one carbon transition goal
Our carbon transition fixed income strategies offer different investment characteristics, depending on your needs.
Launched in 2012, the fund aims to provide an income and capital return by investing in all maturity, sterling-denominated, investment grade bonds. In 2022, we added a decarbonisation objective that will see the fund reach net zero emissions by 2050. We believe all-maturity credit has a natural alignment with the time horizon over which climate-related risks can materialise and that ongoing engagement with issuers takes time and consistency to achieve results.
AXA ACT Carbon Transition Sterling Buy & Maintain Credit
This actively managed fund aims to enhance cash returns by taking an intermediate step into riskier assets while also supporting the transition to a net zero world. It invests across the full fixed-income spectrum in bonds with less than five years to maturity, benefitting from global diversification and dynamic asset allocation, selecting the most compelling opportunities from AXA IM’s existing suite of 11 short-duration strategies.
AXA ACT Carbon Transition Global Short Duration Bond
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