AXA IM ETFs

Actively managed, responsibly invested

Why ETFs?

Exchange traded funds (ETFs) have seen enormous growth in the past 20 years due to a popular combination of:
  • The same all-in-one diversification offered by mutual funds
  • With the ease of trading like stocks
  • Full visibility of the underlying holdings

Traditionally passive investments, today’s ETFs have evolved to offer investors access to a much wider range of investment strategies, including an increasing number of actively managed funds.

Investing public votes AXA IM ACT Biodiversity Equity UCITS ETF as ETF of the Year.

Image
The Swiss ETF Award honours the best exchange-traded funds and exchange-traded products in Switzerland. In addition to an independent 9-member jury consisting of experts and decision makers from the financial sector, nearly 1000 private investors also vote for the winners in each category.1
  • 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
ETF

Explore our ETF Range. Actively managed, responsibly invested.

View funds

Why AXA IM for ETFs?

We are committed to meeting the long-term needs of our investors and are at the forefront of the transformations shaping the future of investing. Our new ETF platform gives investors greater access to the AXA IM expertise they trust, in the format of their choice.
Image

Combining expertise

Our ETF platform brings together:

  • The extensive investment experience of our multi-disciplined portfolio management teams.

  • ETF expertise through our dedicated in-house Capital Markets and Structured Asset Management teams

Image

Accessing future-focused solutions

We believe the challenges and opportunities facing investors – and the world – demand solutions designed with the future in mind.

We have an established history of product innovation that does just that, with solutions that allow investors to benefit from themes ranging from climate change to the consumer digital revolution.

Image

Benefitting from an ETF format

  • Easy access: readily traded on stock exchanges
  • Liquidity: priced in real time and can be bought and sold throughout the day
  • Transparency: portfolio holdings disclosed every day

Our strategies

Our ETF platform provides the potential to leverage the full spectrum of AXA IM’s key investment capabilities in a simple and transparent format.

Our ETF offering will build on AXA IM’s long-standing strengths investing in areas including:

  • Sustainable equities
  • Credit
  • Technology

AXA IM ETFs offer easy access to our recognised expertise as well as the opportunity to further enhance our investment offering as economies, markets and client needs evolve.

Climate strategy

Combining our broad qualitative and quantitative equity investing capabilities and part of our ACT range, which we consider to be at the forefront of our responsible investment offering.

The Climate strategy invests in companies that are acting positively for the climate by reducing and/or limiting the impact of global warming on economies and societies. The ETF has been developed to align with the following United Nations Sustainable Developmental Goals (UNSDGs)2 :

  • 7 – Affordable and Clean Energy
  • 13 – Climate Action
  • VGhlIHRhcmdldGluZyBvZiBzcGVjaWZpYyBTREdzIGRvZXMgbm90IGltcGx5IHRoZSBlbmRvcnNlbWVudCBvZiB0aGUgVW5pdGVkIE5hdGlvbnMgb2YgQVhBIEludmVzdG1lbnQgTWFuYWdlcnMsIGl0cyBwcm9kdWN0cyBvciBzZXJ2aWNlcywgb3Igb2YgaXRzIHBsYW5uZWQgYWN0aXZpdGllcyBhbmQgZG9lcyBub3QgY29uc3RpdHV0ZSwgZXhwbGljaXRseSBvciBpbXBsaWNpdGx5LCBhIHJlY29tbWVuZGF0aW9uIGZvciBhbiBpbnZlc3RtZW50IHN0cmF0ZWd5Lg==

Biodiversity strategy

Combining our broad qualitative and quantitative equity investing capabilities and part of our ACT range, which we consider to be at the forefront of our responsible investment offering.

The Biodiversity strategy invests in companies that are acting positively for biodiversity by reducing and/or limiting the negative impact of human activities on biodiversity.  The ETF has been developed to align with the following United Nations Sustainable Developmental Goals (UNSDGs)**:

  • 6 – Clean Water & Sanitation
  • 12 – Responsible Consumption & Production
  • 14 – Life Below Water
  • 15 – Life on Land

Nasdaq 100 strategy

The Nasdaq 100 strategy is designed to passively replicate the performance of the Nasdaq-100® index. This strategy provides a cost effective means of tapping into the growth potential of the biggest modern-day industrial and technology companies in the US, in a single transaction.

Risk Warning

No assurance can be given that our investment strategies will be successful. Investors can lose some or all of their capital invested. Our strategies are subject to risks including, but not limited to: equity; emerging markets; global investments; investments in small and micro capitalisation universe; investments in specific sectors or asset classes specific risks, liquidity risk, credit risk, counterparty risk, legal risk, valuation risk, operational risk and risks related to the underlying assets.

    Disclaimer

    The information on this website is intended for investors domiciled in Switzerland.

    AXA Investment Managers Switzerland Ltd (AXA IM) is not liable for unauthorised use of the website.

    This website is for advertising and informational purpose only. The published information and expression of opinions are provided for personal use only. The information, data, figures, opinions, statements, analyses, forecasts, simulations, concepts and other data provided by AXA IM in this document are based on our knowledge and experience at the time of preparation and are subject to change without notice.

    AXA IM excludes any warranty (explicit or implicit) for the accuracy, completeness and up-to-dateness of the published information and expressions of opinion. In particular, AXA IM is not obliged to remove information that is no longer up to date or to expressly mark it a such. To the extent that the data contained in this document originates from third parties, AXA IM is not responsible for the accuracy, completeness, up-to-dateness and appropriateness of such data, even if only such data is used that is deemed to be reliable.

    The information on the website of AXA IM does not constitute a decision aid for economic, legal, tax or other advisory questions, nor may investment or other decisions be made solely on the basis of this information. Before any investment decision is made, detailed advice should be obtained that is geared to the client's situation.

    Past performance or returns are neither a guarantee nor an indicator of the future performance or investment returns. The value and return on an investment is not guaranteed. It can rise and fall and investors may even incur a total loss.

    AXA Investment Managers Switzerland Ltd.