360° investment expertise

To deliver value in a competitive market, you need to understand the underlying trends. We monitor the entire capital stack across private and listed markets to capture investment opportunities.

Overview

We’re a global leader in alternatives investing. Through innovative product launches and delivering constantly high performance to our global clients, we have demonstrated consistent – and fast – growth.

Real assets

We take a 360° approach to investing in real assets. That means on-the-ground knowledge of markets and cycles and a thorough understanding of relative value.

Structured finance

We offer tailored investment solutions for every asset class and client typology. Our comprehensive product line-up covers the entire risk-return spectrum.

Real Estate Equity

As the leading real estate investment manager in Europe, we offer clients access to the most dynamic urban real estate markets globally.

We’re committed to our assets,our tenants and our clients for the long term.We’re focused on building a sustainable future, together.

Local deal sourcing in 20+ countries
With offices on four continents and a robust global network, we have the local knowledge to find the right deals. Our experts are on the ground in 20+ countries

From core to opportunistic
We invest across the risk/return spectrum, from core to opportunistic. By spanning the risk profile, we aim to deliver competitive returns tailored to individual client profiles.

Investing across real estate sectors
From residential to logistics centres, student accommodation, elder care and hotels – diversification is core to our strategy. This breadth offers investors protection from market cycles while capitalising on trends.

Private Debt & Alternative Credit

We source credit opportunities outside of public credit markets. These include structured finance instruments, commercial real estate debt and infrastructure debt.

From renewable to green transportation, healthcare private equity to investments in impact projects, we are active across a wide range of PE & Infrastructure strategies.

A leading global player in structured finance and alternative credit
We offer investors long-term partnership, scale and sourcing abilities, and a full spectrum of strategies. These include commercial real estate debt, leveraged loans and private debt and collateralized loan obligations.

A thorough understanding of relative value
As we invest across the capital stack, in private and listed markets, we’re able to identify relative value and capitalise on opportunities. We maintain a 360° view of our markets.

#1 capital raiser for CRE debt1 and #3 for infrastructure debt2
We are the world’s leading raiser of capital for commercial real estate debt as well as infrastructure debt. We have the network and scale to undertake large and complex financial deals.

  • PERE Real Estate Debt (RED) 50, May 2022. Ranking based on capital raised for the purpose of real estate debt issuance between 1 January 2017 and 31 December 2021.
  • Infrastructure Investor, Infrastructure Debt 30, February 2022. Ranking based on capital raised between 1 January 2016 and 31 August 2021.

Private Equity & Infrastructure

Through our range of healthcare, infrastructure private equity and real estate private equity investments, we aim to offer diversification and managed risk.

From renewable to green transportation, healthcare private equity to investments in impact projects, we are active across a wide range of PE & Infrastructure strategies.

Investing in global healthcare
Our innovative healthcare investment strategy seeks to deliver market rates of return for our investors while expanding crucial access to healthcare services globally.

Building essential services
Our infrastructure investments are highly resilient to economic cycles, offering investors a long-term, long-yield asset class with steady cash flow.

Responsible investing

Discover Impact Investing

AXA IM Alts invests in large-scale issues with significant funding gaps to benefit people and planet.

Find out here

Hedge Funds

We draw on decades of experience and expertise to identify high-performing, diversified funds with tailored risk returns.

We have been investing in hedge funds for 18 years and are among the largest managers of alternative assets in Europe. Our strategies include the Chorus fund and our Fund of Hedge Funds.

Agility with transparency
Transparency and reliability are at the heart of the service we provide for clients. But we can also react with agility and speed to new opportunities and intelligence.

Experience meets data
Our team of experts has decades of combined experience. This is married to robust analytical research and data, and the access we have as part of the AXA Group.

Responsible investing

Explore our ESG approach

AXA IM Alts is driving the ESG agenda to generate long term value for clients.

Find out here

Risk Warning
No assurance can be given that our strategies will be successful. Investors can lose some or all of their capital invested.

    Disclaimer

    This marketing communication does not constitute on the part of AXA Investment Managers a solicitation or investment, legal or tax advice. This material does not contain sufficient information to support an investment decision.

    Due to its simplification, this document is partial and opinions, estimates and forecasts herein are subjective and subject to change without notice. There is no guarantee forecasts made will come to pass. Data, figures, declarations, analysis, predictions and other information in this document is provided based on our state of knowledge at the time of creation of this document. Whilst every care is taken, no representation or warranty (including liability towards third parties), express or implied, is made as to the accuracy, reliability or completeness of the information contained herein. Reliance upon information in this material is at the sole discretion of the recipient. This material does not contain sufficient information to support an investment decision.