Absorbing shocks for bond investors

Presented by

Nicolas Trindade, Senior Portfolio Manager, AXA Investment Management

About this talk

Nicolas Trindade, Senior Portfolio Manager for the AXA Sterling Credit Short Duration Bond fund, discusses the credentials of the fund, track record, quarterly performance and gives an overview of the fund.

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A short duration range that takes the sting out of interest rate rises and market volatility When markets are volatile, short duration bonds offer better risk adjusted returns than longer duration bonds. Our short duration range has delivered an average of 79% of the underlying markets’ return with just 49% of the volatility. This allows cautious investors to find yield in a low interest rate environment. AXA Investment Managers is a pioneer in short duration strategies. Our team has over 15 years’ experience and manages €25bn in the sector. Our short duration products cover most investors’ needs including, investment grade, emerging markets, inflation, Asia and high yield.