Published in September 2015
Flexible and active exposure to the entire fixed income spectrum, through a single fund
Are you ready for the most recent developments in fixed income markets? Unconstrained by a benchmark, AXA WF Global Strategic Bonds benefits from an active portfolio allocation strategy. A global top-down investment process and a broad portfolio diversification ensure consistent exposure to multiple sources of alpha, all the way through the investment cycle.
The Fund capitalises on the extensive resources of AXA IM, managing more than €460 billion in fixed income assets worldwide. Led by Nick Hayes, a highly experienced credit and aggregate bond fund manager, the investment team implements the best ideas of AXA IMs' specialist fixed income ‘alpha groups' such as Investment Grade Credit, High Yield Credit, EM Debt and Interest Rates. A dedicated Portfolio Engineering team works alongside the investment team to constantly monitor the Fund's risk/return profile.