Christophe Eric Coquema is no longer serving in their position at AXA Investment Managers, Inc.

Jun 19, 2018
Board and Executive Moves
Background Information
AXA Investment Managers (AXA IM) invests in the US high yield corporate credit market. The firm seeks to compound current income and avoid principal losses through detailed fundamental credit analysis. They provide portfolio management services using the following strategies: core high yield, short duration high yield, U.S. corporate investment grade, structured finance and long-short credit. The short duration strategy, high yield strategy and structured finance strategy are total return strategies, while the long-short credit strategy is an absolute return strategy. AXA IM manages the core high yield and U.S. corporate investment grade strategies against a benchmark.The St. Bernard Fund pursues a long-short credit strategy with a focus on “credit-sensitive” U.S. RMBS and ABS, as well as the derivatives thereon.The U.S. High Yield Fund pursues a core high yield strategy that invests primarily in a diversified portfolio of U.S. dollar-denominated high yield corporate debt securities. The objective is to generate high income and total return and to outperform the BofA Merrill Lynch U.S. High Yield Master II Index over a full market cycle.AVA IM offers a structured finance strategy that focuses on foreign and domestic private debt, whole loans, and CLOs.