Axa Im Fixed Income Investment Strategies - Us Short Duration High Yield B Capitalisation Usd (0P0000IKJC)

173.950 -0.310 (-0.18%)
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Axa Im Fixed Income Investment Strategies - Us Short Duration High Yield B Capitalisation Usd Profile

Total Assets
Inception Date
Dec 27, 2006
USD High Yield Bond funds invest principally in sub-investment grade securities with a credit quality equivalent to BB, or lower and denominated in or hedged into USD.
Contact Information
49, Avenue J.F. Kennedy Luxembourg, 1855, Luxembourg
Top Executives
Vernard Portfolio Manager/Analyst 2021 - As a Portfolio Manager within the US high yield team in fixed income, Vern has been responsible for managing short duration strategies since 2011. Vern joined AXA IM in 2007 as a Trader primarily dealing with high yield fixed income securities and was in this role for four years. Prior to AXA IM, Vern was a member of the American Stock Exchange working as a floor broker for Kellogg Capital. Vern holds a Bachelor’s degree in Economics and History from Williams College; and he is also a CFA charterholder.
Peter Portfolio Manager 2011 - Peter is a portfolio manager/analyst with AXA IM. Prior to joining AXA IM in 2006, Peter was a client administrator in the asset-backed securities division of Deutsche Bank, where he managed the daily transactions for a variety of companies. Peter holds a B.A. from Williams College and has the CFA professional designation.
Carl Head 2011 2021 Carl Whitbeck, CFA® is the Global Head of High Yield and US Active Fixed Income at AXA IM.. Mr. Whitbeck joined AXA IM in 2002 as a U.S. high yield analyst. Since joining AXA IM, he has served in various capacities within the U.S. High Yield team, including research analyst, head of research as well as portfolio manager for U.S. High Yield portfolios and several Global High Yield portfolios. Prior to joining AXA IM in 2002, Carl was an analyst in the investment banking division of Lehman Brothers, where he performed financial analysis on companies in the consumer and retail sectors, and worked on a variety of M&A and high yield transactions. Carl holds a B.A. from Williams College and has the CFA professional designation.
Thomas high yield credit Analyst 2004 2011 "Tom is a senior portfolio manager with AXA IM, with 25 years of fixed income and 19 years of high yield bond market experience. Prior to joining AXA IM in 2001, Tom was a managing director of Cardinal Capital, where he served as high yield portfolio manager/research analyst. Prior to joining Cardinal Capital, Tom was a high yield credit analyst at Deltec Asset Management. Before joining Deltec, Tom was an assistant vice president of Discount Corporation of New York and was responsible for trading U.S. Treasury securities. Tom holds a B.A. from Amherst College. "
Anne Director 2004 2011 Anne C. Yobage, CFA, is a Director and senior portfolio manager. Ms. Yobage has specific responsibility for Short Duration High Yield mandates. Prior to co-founding SKY Harbor in 2011, she was Co-Head of US High Yield and senior portfolio manager for AXA Investment Managers with responsibility for the short duration high yield strategy. Her prior experience includes: co-founder of Cardinal Capital Management; co-head of High Yield at Deltec Asset Management; and credit analyst at Kidder Peabody. She holds a BA from Swarthmore College.
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