More information

View AXA Rosenberg Irish UCITS and regional offers on AXA IM's international and local websites

(For product information and KIIDS in English, Finnish & Swedish, visit our International website)

AXA Rosenberg key figures

  • $26.3 (€21) billion in assets under management as at 30 September 2014
  • Nearly 200 financial statement items for approximately 20,000* companies tracked worldwide
  • 25 years experience
  • 53  investment professionals

Source: AXA Rosenberg as at 30 September 2014 unless otherwise specified. * AXA Rosenberg has fundamental data for, and is actively valuing, approximately 20,000 companies. This figure varies depending on the overall number of companies that are in existence and listed at any point in time.  Source: AXA Rosenberg

 

SECURITIES FRAUD ALERT

AXA Rosenberg wishes to advise that one or more individuals posing as representatives of legitimate investment managers have engaged in fraudulent attempts to offer securities to investors falsely purporting to be coming from employees of AXA Rosenberg or AXA Investment Managers.

 

 

AXA IM's 2013 Results

<h3> &nbsp;</h3> <p> Andrea Rossi, CEO of AXA IM, commented on the results: "Despite macro headwinds, 2013 was another successful year for AXA IM and our results demonstrate that we are on the right path to strengthen our position as a reference asset management firm for investors around the world. We will build on the very strong inflows achieved in 2013 to accelerate the next phase of development for AXA IM."</p> <a href="http://www.axa-im-webtv.com/rosenberg/axa-im-2013-results-video-2019.html"><img alt="AXA IM 2013 Results" height="102" src="http://www.axa-im-webtv.com/rosenberg/ressources/media/photo-2019-axa-im-2013-results.html" width="181" /></a>

Main content

AXA IM's systematic fundamental global equity expertise

AXA Rosenberg is a global equity investment manager with offices located in major financial markets worldwide, within the AXA Investment Managers Group, a multi-expert investment management company.

We offer a distinctive investment approach that combines our fundamental knowledge with technology to value companies on a global scale. This enables us to compare common characteristics of companies worldwide with depth, speed and efficiency.

We use a systematic fundamental approach based on rigorous research analysis that sets us apart from typical quant managers - allowing us to make decisions for our clients that are objective and rational, seeking to achieve consistent, superior results.

Our latest news

21/11/2014 - Market Thinking - A view from the Equity Market

The APEC meeting was followed by G20 and more deals out of china on trade and infrastructure, all of which are very positive for long term growth in the region.

21/11/2014 - Market Thinking - A view from the Equity Market

Next week sees Thanksgiving in the US and effectively the start of ‘the holidays', producing shorter trading weeks and lots of choppy data. Read more...

21/11/2014 - Iggo's insight - A view from the bond market

Current bond yields price in a much lower trajectory for short term interest rates over the medium term than seen in previous economic cycles. Read more...

Archives