Our approach to sustainability
At the core of AXA IM’s investment philosophy is our belief that performance and responsibility go hand-in-hand. With sustainability integrated into over 70% of investment activities*, we focus on delivering not only strong financial returns but also positive societal and environmental impact.
*AXA IM Core and AXA IM Alts assets AUM that either promote environmental or social characteristics and/or demonstrate a sustainable objective and are therefore categorized as Article 8 or 9 under SFDR level II.
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AXA IM is committed to achieving net zero by 2050, both as an investor and a business – knowing that this requires a collective effort. As stewards of the investments entrusted to us, asset managers have the ability and responsibility to contribute to net zero while delivering financial returns.
Decarbonisation
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AXA IM’s role as a responsible investor goes beyond decarbonising our portfolio. It also involves actively making a positive impact by consciously channelling capital towards investments that meet our rigorous sustainability criteria across real assets, bonds, equity, ETFs and impact investing.
Channeling Capital
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AXA IM strives to engage with stakeholders to drive the transition to a more sustainable world. We engage as an investor, seeking to influence our investee companies; as an employer, aiming to foster an inclusive environment; and as a business, encouraging our suppliers to implement responsible practices.
Engagement
ETF
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We are a responsible business, working to bring our responsibility commitments to life through our own corporate behaviours and actions - from public transparency on key targets, to fostering a culture of inclusion and diversity, driving an impact philanthropy approach, and active community engagement.
Corporate Social Responsibility
ETF
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