About AXA Framlington Investment Management
AXA Framlington is a leading specialist equity fund manager within the AXA Investment Managers Group. As experts in their field, they focus on delivering superior investment returns for their clients. They offer competitive products backed up with excellent service. Their structure and size creates a dynamic environment for their fund managers. This encourages a high level of personal responsibility in which both individual flair and teamwork flourish. Total funds under management now exceed £4.1 billion (as at 31 December 2008).
About the fund manager's investment process.
For over 30 years of investment management, AXA Framlington has followed the same investment style, investing in quality growth companies at a reasonable price. In seeking growth, AXA Framlington looks to invest in companies expected to produce above average growth in earnings and cash returns on invested capital. AXA Framlington focuses on three main factors during stock selections for their portfolios:
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assessing a company's ability to produce supperior long-term growth prospects, as well as the quality of its management and financial position. AXA Framlington uses a valuation appraisal method in order to identify strong or potential earnings growth
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insisting that companies meet or exceed market expectations. Growth is the main driving force of the AXA Framlington investment process
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identifying areas of the market benefitting from current conditions, and focusing on companies which they believe are most likely to deliver
AXA Framlington's investment style and complementary stock selection process is further supported by risk control parameters in order to aim to produce above average returns.
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