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AXA Investment Managers

Full company profile

uuid00009l4

Namestring
AXA Investment Managers
Legal namestring
AXA Investment Managers S.A.
Websiteurl
axa-im.com
Company typeenum
Private
Founded yearint
1994
Descriptiontext

AXA Investment Managers is a global asset management firm that manages assets on behalf of institutional investors and financial intermediaries, with operations spanning equity, fixed income, and alternative investment strategies. Within the BNP Paribas Asset Management platform (post-July 2025 acquisition), the combined entity oversees approximately €1.6 trillion in assets, including roughly €850 billion in long-term savings and approximately €300 billion in alternative assets covering private equity, real estate, infrastructure, and private credit. The firm is headquartered in Paris (Puteaux), France, and operates across 35 countries, distributing investment products through direct institutional sales, financial intermediary networks, and the BNP Paribas banking distribution channel.

The company's product platform centers on active and alternative investment solutions, with notable offerings including the AXA IM Euro Aggregate Bond Opportunities UCITS ETF and dedicated alternatives vehicles. AXA IM has developed proprietary AI/ML capabilities including a neural network for tail-risk identification (documented to have flagged US regional bank failures in 2023) and NLP-based earnings call sentiment analysis, supported by broader enterprise generative AI infrastructure (AXA SecureGPT) deployed across the group's 140,000 employees. The firm has a 20+ year ESG integration track record and a proprietary Physical Climate Risk Appraisal Methodology (PCRAM) used in partnership with IIGCC and Swiss Re.

AXA IM generates revenue through management and performance fees on assets under management, with fees typically ranging from 0.1% to 1.5% of AUM depending on asset class, strategy complexity, and client size. Customer segments are organized horizontally across institutional investors (pension funds, insurers, sovereign wealth funds) and financial intermediaries (banks, wealth managers, distributors). The go-to-market is enterprise field sales, supported by content marketing, industry events, and ESG thought leadership. The company is no longer independent following the €5.4 billion acquisition by BNP Paribas Cardif, which closed July 1, 2025, and is currently being integrated with approximately 1,200 positions being eliminated through voluntary redundancy.

Short descriptiontext

AXA Investment Managers is a French asset management firm managing over €1.6 trillion in assets post-BNP Paribas acquisition, serving institutional investors and financial intermediaries with active, fixed income, and alternative investment solutions across 35 countries.

Operating statusenum
Acquired
Ownership categoryenum
Headcount rangeband
1,001–5,000
akta.pro rankint
HeadquartersPuteaux, France
HQ citystring
Puteaux
HQ countrystring
France
HQ regionstring
Europe
Markets served

Serves global market

Offices1 record

Each record includes

City, Country, Type, Description, Source

Keyword5 values
institutional asset management, alternative investments, fixed income management, equity portfolio management, ESG investment solutions
Industry4 codes
1Advisory Portfolio Management (Non-Discretionary)
CodeFSAAABADPrimaryYes
2Insurance General Accounts (Institutional Asset Owners)
CodeFSAAAGAGPrimaryNo
3Sustainable/ESG Equity (Active)
CodeFSAAAIAMPrimaryNo
4Real Estate Investment Advisory (Acquisitions/Dispositions, Capital Allocation)
CodeBPAJANAAPrimaryNo
NAICS code3 codes
  • Portfolio Management and Investment Advice523940
  • Portfolio Management and Investment Advice52394
  • Open-End Investment Funds525910
SIC code2 codes
  • Investment Advice6282
  • Real Estate Dealers (For Their Own Account)6532
Product category
Institutional Asset Management
GTM motion1 record

Each record includes

Type, Description, Source

Revenue model2 records
1Asset Management Fees
TypeSubscription Recurring
Description

Management fees and performance fees generated from managing client assets across equity, fixed income, and alternative investments

bnpparibas-am.com
2Alternative Assets Management
TypeSubscription Recurring
Description

Revenue from managing alternative assets including private equity, real estate, infrastructure, and private credit

alternativecreditinvestor.com
Marketing channels5 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels3 records

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components5 values
Personnel, Technology or R&D, Operations, Marketing or Sales, Infrastructure
Pricing details1 tier
1Institutional investor pricing based on AUM percentage
ModelSubscriptionBilling cadenceAnnual
Notes

Management fees typically range from 0.1% to 1.5% depending on asset class, strategy complexity, and client size

bnpparibas-am.com
GTM typeB2B
B2B
Offering typeServices
Services
Core offering1 text field

AXA Investment Managers is a global asset management firm managing approximately €1.6 trillion in assets on behalf of institutional and retail clients. It provides actively managed investment solutions across liquid markets (equity, fixed income) and alternative assets (private equity, real estate, infrastructure, private credit), including active ETFs and long-term savings platforms.

Differentiator
Functional benefit
Problem solved
Quantifiable outcome1 of 3 values shown
  • Top-3 European asset manager in long-term savings and alternative assets
+2 more records
Product overview1 text field

AXA Investment Managers operated as a comprehensive asset management platform offering both liquid and alternative investment solutions. The core offerings include active bond management through the AXA IM Euro Aggregate Bond Opportunities UCITS ETF, a long-term savings platform managing approximately €850 billion in assets, and an alternative assets platform managing approximately €300 billion. Following its acquisition by BNP Paribas in 2025, these capabilities contribute to the combined €1.6 trillion asset management platform under the AMplify 2030 strategic plan.

Product and service4 records
1AXA IM Euro Aggregate Bond Opportunities UCITS ETF
CategoryETF
2Long-term Savings Assets Platform
CategoryAsset Management Platform
3Alternative Assets Platform
CategoryAsset Management Platform
4Equity and Fixed Income Active Management
CategoryInvestment Management Services
Scale indicator6 records

Each record includes

Type, Value, Description, Source

Partnership2 partners
Strategic tierMinorTypeStrategic or Co-development PartnerAnnounced on2025-12-18
Description

AXA IM Alts collaborated with IIGCC, Mott MacDonald, and Swiss Re on a case study applying its Physical Climate Risk Appraisal Methodology (PCRAM) to a last-mile logistics warehouse in Barcelona, Spain.

Strategic tierCoreTypeStrategic or Co-development PartnerAnnounced on2025-11-28
Description

AXA IM Alts acquired a 40% stake in FiberPass, a fiber broadband company operated jointly by Vodafone Spain and Telefónica Spain. The FTTH network serves 3.7 million premises and 1.4 million customers across Spain, aiming to enhance high-speed broadband services.

Recent move8 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight6 records

Each record includes

Type, Description

Peers10 records
TypeDirect peer
Description

Europe's largest asset manager headquartered in Paris with ~€2T AUM. Directly comparable to AXA IM as a French-headquartered, multi-affiliate asset manager offering active, passive, real assets, and ESG strategies to institutional and retail clients across Europe.

TypeBroad incumbent
Description

The global asset management leader with ~$10T+ AUM and the dominant iShares ETF franchise. Comparable as an institutional asset manager with significant alternatives (Global Infrastructure Partners) and ESG platforms, but far larger and more globally diversified than AXA IM.

TypeDirect peer
Description

London-listed global asset manager with ~£700B+ AUM, a strong active equities/fixed income franchise and growing private markets (real estate, infrastructure, private equity). Comparable as a European-headquartered active manager expanding into alternatives and wealth distribution.

TypeDirect peer
Description

Frankfurt-listed asset manager (Deutsche Bank subsidiary) with ~€900B+ AUM across active, passive (Xtrackers ETFs), and alternatives. Closely comparable to AXA IM as a European bank-affiliated multi-affiliate platform with Xtrackers competing directly with the AXA IM Euro Aggregate Bond UCITS ETF.

TypeDirect peer
Description

UK-based institutional asset manager with ~£1.4T AUM, large in liability-driven investing (LDI), index, and active fixed income. Comparable as a European institutional asset manager with deep pension fund relationships and growing alternatives/real assets exposure.

TypeDirect peer
Description

Global asset manager within UBS Group with ~$1.1T AUM across traditional and alternatives (Real Estate & Private Markets). Comparable as a bank-affiliated European-headquartered manager benefiting from cross-asset distribution and an active alternatives build-out.

TypeDirect peer
Description

German-headquartered asset manager affiliated with Allianz Group, focused on active fixed income, equities, and alternatives. Comparable as a European insurance-affiliated manager with institutional and intermediary distribution and a strong ESG/sustainable investing franchise.

TypeDirect peer
Description

Privately-held global asset manager with ~$700B+ AUM, strong in active equities, fixed income, and growing alternatives. Comparable as a privately-held European-anchored manager with deep institutional and intermediary relationships and a focus on active investment outcomes.

TypeBroad incumbent
Description

US-headquartered asset manager within State Street with ~$4T+ AUM, dominant in passive (SPDR ETFs) and institutional indexing. Comparable at the institutional asset management level, with overlapping SPDR ETF products competing with AXA IM's UCITS ETF launches.

TypeDirect peer
Description

Paris-headquartered multi-affiliate asset manager affiliated with Groupe BPCE, with ~€1.2T AUM and a strong alternatives presence (Loomis Sayles, Ostrum, Vauban). Comparable as a French bank-affiliated multi-affiliate platform with active management, alternatives, and ESG capabilities.

Market position
Strengths5 records

Each record includes

Headline, Details, Source

Weaknesses5 records

Each record includes

Headline, Details, Source

Competitive moat6 records

Each record includes

Type, Details

Key risks5 records

Each record includes

Headline, Details, Source

Key highlights7 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Named customers4 records

Each record includes

Name, Industry, Type, Use case, Source, UUID

Segment2 records

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile2 records

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
No
API detail
Has APIbool
No

Docs URL, Description

AI maturity
App detail

Has app

Feature3 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles7 records

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

Subsidiaries2 records

Each record includes

Name, Acquired on, Relationship type, Type, Business focus

No data
Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A3 records

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment44 records

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

AXA Investment Managers

Institutional Asset Managementaxa-im.com

AXA Investment Managers is a French asset management firm managing over €1.6 trillion in assets post-BNP Paribas acquisition, serving institutional investors and financial intermediaries with active, fixed income, and alternative investment solutions across 35 countries.

What AXA Investment Managers does

AXA Investment Managers is a global asset management firm that manages assets on behalf of institutional investors and financial intermediaries, with operations spanning equity, fixed income, and alternative investment strategies. Within the BNP Paribas Asset Management platform (post-July 2025 acquisition), the combined entity oversees approximately €1.6 trillion in assets, including roughly €850 billion in long-term savings and approximately €300 billion in alternative assets covering private equity, real estate, infrastructure, and private credit. The firm is headquartered in Paris (Puteaux), France, and operates across 35 countries, distributing investment products through direct institutional sales, financial intermediary networks, and the BNP Paribas banking distribution channel.

The company's product platform centers on active and alternative investment solutions, with notable offerings including the AXA IM Euro Aggregate Bond Opportunities UCITS ETF and dedicated alternatives vehicles. AXA IM has developed proprietary AI/ML capabilities including a neural network for tail-risk identification (documented to have flagged US regional bank failures in 2023) and NLP-based earnings call sentiment analysis, supported by broader enterprise generative AI infrastructure (AXA SecureGPT) deployed across the group's 140,000 employees. The firm has a 20+ year ESG integration track record and a proprietary Physical Climate Risk Appraisal Methodology (PCRAM) used in partnership with IIGCC and Swiss Re.

AXA IM generates revenue through management and performance fees on assets under management, with fees typically ranging from 0.1% to 1.5% of AUM depending on asset class, strategy complexity, and client size. Customer segments are organized horizontally across institutional investors (pension funds, insurers, sovereign wealth funds) and financial intermediaries (banks, wealth managers, distributors). The go-to-market is enterprise field sales, supported by content marketing, industry events, and ESG thought leadership. The company is no longer independent following the €5.4 billion acquisition by BNP Paribas Cardif, which closed July 1, 2025, and is currently being integrated with approximately 1,200 positions being eliminated through voluntary redundancy.

AXA Investment Managers firmographics

Firmographics
Name
AXA Investment Managers
Legal name
AXA Investment Managers S.A.
Website
https://axa-im.com
Company type
Private
Founded year
1994
Operating status
Acquired
Headcount range
1,001–5,000 employees
Short description
AXA Investment Managers is a French asset management firm managing over €1.6 trillion in assets post-BNP Paribas acquisition, serving institutional investors and financial intermediaries with active, fixed income, and alternative investment solutions across 35 countries.
Ownership category
akta.pro rank

AXA Investment Managers industry classification

Industry
Product category
Institutional Asset Management
NAICS
Portfolio Management and Investment Advice (523940), Portfolio Management and Investment Advice (52394), Open-End Investment Funds (525910)
SIC
Investment Advice (6282), Real Estate Dealers (For Their Own Account) (6532)
akta.pro primary industry
Advisory Portfolio Management (Non-Discretionary) (FSAAABAD)
akta.pro secondary industries
Insurance General Accounts (Institutional Asset Owners) (FSAAAGAG), Sustainable/ESG Equity (Active) (FSAAAIAM), Real Estate Investment Advisory (Acquisitions/Dispositions, Capital Allocation) (BPAJANAA)

Keywords

  • Institutional asset management
  • Alternative investments
  • Fixed income management
  • Equity portfolio management
  • ESG investment solutions

Where AXA Investment Managers is headquartered

Location

Headquarters

HQ city
Puteaux
HQ country
France
HQ region
Europe

Offices1 record

Markets served

AXA Investment Managers business model

Business model
GTM type
B2B
Offering type
Services
Cost components
Personnel, Technology or R&D, Operations, Marketing or Sales, Infrastructure

Revenue model

  1. Asset Management Fees: Management fees and performance fees generated from managing client assets across equity, fixed income, and alternative investments
  2. Alternative Assets Management: Revenue from managing alternative assets including private equity, real estate, infrastructure, and private credit

Pricing tiers

ModelBillingPrice
SubscriptionAnnualInstitutional investor pricing based on AUM percentage

Go-to-market motion1 record

Distribution channels3 records

Marketing channels5 records

AXA Investment Managers product offering

Product offering

Core offering

AXA Investment Managers is a global asset management firm managing approximately €1.6 trillion in assets on behalf of institutional and retail clients. It provides actively managed investment solutions across liquid markets (equity, fixed income) and alternative assets (private equity, real estate, infrastructure, private credit), including active ETFs and long-term savings platforms.

Product overview

AXA Investment Managers operated as a comprehensive asset management platform offering both liquid and alternative investment solutions. The core offerings include active bond management through the AXA IM Euro Aggregate Bond Opportunities UCITS ETF, a long-term savings platform managing approximately €850 billion in assets, and an alternative assets platform managing approximately €300 billion. Following its acquisition by BNP Paribas in 2025, these capabilities contribute to the combined €1.6 trillion asset management platform under the AMplify 2030 strategic plan.

Differentiator

Problem solved

Functional benefit

Products and services

  • AXA IM Euro Aggregate Bond Opportunities UCITS ETF
  • Long-term Savings Assets Platform
  • Alternative Assets Platform
  • Equity and Fixed Income Active Management

Quantifiable outcome

  • Top-3 European asset manager in long-term savings and alternative assets
  • +2 more outcomes

Companies that use AXA Investment Managers

Customer profile

Named customers4 records

Segments2 records

Ideal customer profiles2 records

AXA Investment Managers technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Feature3 records

AXA Investment Managers partnerships and signals

Strategic signal

Partnerships

Two partnerships are on record, tiered minor and core.

  • IIGCC (Institutional Investors Group on Climate Change)minorStrategic or Co-development Partner · 18 December 2025AXA IM Alts collaborated with IIGCC, Mott MacDonald, and Swiss Re on a case study applying its Physical Climate Risk Appraisal Methodology (PCRAM) to a last-mile logistics warehouse in Barcelona, Spain.
  • FiberPass (Telefónica España & Vodafone Spain)coreStrategic or Co-development Partner · 28 November 2025AXA IM Alts acquired a 40% stake in FiberPass, a fiber broadband company operated jointly by Vodafone Spain and Telefónica Spain. The FTTH network serves 3.7 million premises and 1.4 million customers across Spain, aiming to enhance high-speed broadband services.

Scale indicators6 records

Recent moves8 records

Expansion highlights6 records

AXA Investment Managers competitors and assessment

Company assessment

Direct peers

  • Amundi: Europe's largest asset manager headquartered in Paris with ~€2T AUM. Directly comparable to AXA IM as a French-headquartered, multi-affiliate asset manager offering active, passive, real assets, and ESG strategies to institutional and retail clients across Europe.
  • Schroders: London-listed global asset manager with ~£700B+ AUM, a strong active equities/fixed income franchise and growing private markets (real estate, infrastructure, private equity). Comparable as a European-headquartered active manager expanding into alternatives and wealth distribution.
  • DWS Group: Frankfurt-listed asset manager (Deutsche Bank subsidiary) with ~€900B+ AUM across active, passive (Xtrackers ETFs), and alternatives. Closely comparable to AXA IM as a European bank-affiliated multi-affiliate platform with Xtrackers competing directly with the AXA IM Euro Aggregate Bond UCITS ETF.
  • Legal & General Investment Management (LGIM): UK-based institutional asset manager with ~£1.4T AUM, large in liability-driven investing (LDI), index, and active fixed income. Comparable as a European institutional asset manager with deep pension fund relationships and growing alternatives/real assets exposure.
  • UBS Asset Management: Global asset manager within UBS Group with ~$1.1T AUM across traditional and alternatives (Real Estate & Private Markets). Comparable as a bank-affiliated European-headquartered manager benefiting from cross-asset distribution and an active alternatives build-out.
  • Allianz Global Investors: German-headquartered asset manager affiliated with Allianz Group, focused on active fixed income, equities, and alternatives. Comparable as a European insurance-affiliated manager with institutional and intermediary distribution and a strong ESG/sustainable investing franchise.
  • Fidelity International: Privately-held global asset manager with ~$700B+ AUM, strong in active equities, fixed income, and growing alternatives. Comparable as a privately-held European-anchored manager with deep institutional and intermediary relationships and a focus on active investment outcomes.
  • Natixis Investment Managers: Paris-headquartered multi-affiliate asset manager affiliated with Groupe BPCE, with ~€1.2T AUM and a strong alternatives presence (Loomis Sayles, Ostrum, Vauban). Comparable as a French bank-affiliated multi-affiliate platform with active management, alternatives, and ESG capabilities.

Broad incumbents

  • BlackRock: The global asset management leader with ~$10T+ AUM and the dominant iShares ETF franchise. Comparable as an institutional asset manager with significant alternatives (Global Infrastructure Partners) and ESG platforms, but far larger and more globally diversified than AXA IM.
  • State Street Global Advisors: US-headquartered asset manager within State Street with ~$4T+ AUM, dominant in passive (SPDR ETFs) and institutional indexing. Comparable at the institutional asset management level, with overlapping SPDR ETF products competing with AXA IM's UCITS ETF launches.

Market position

Strengths5 records

Weaknesses5 records

Competitive moat6 records

Key risks5 records

Key highlights7 records

Customer concentration

AXA Investment Managers social profiles

Digital presence

AXA Investment Managers financial estimates

Financial estimate

Revenue estimate

Valuation estimate

AXA Investment Managers leadership team

Management profile

Number of profiles

Profiles7 records

AXA Investment Managers subsidiaries and ownership

Company hierarchy

Subsidiaries2 records

AXA Investment Managers funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

AXA Investment Managers M&A and investment

M&A and investment

M&A3 records

Investments44 records

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about AXA Investment Managers

What does AXA Investment Managers do?

AXA Investment Managers is a global asset management firm managing approximately €1.6 trillion in assets on behalf of institutional and retail clients. It provides actively managed investment solutions across liquid markets (equity, fixed income) and alternative assets (private equity, real estate, infrastructure, private credit), including active ETFs and long-term savings platforms.

Is AXA Investment Managers a public or private company?

AXA Investment Managers is a private company. It is classified as corporate owned and is currently acquired.

When was AXA Investment Managers founded?

AXA Investment Managers was founded in 1994. It employs 1,001 to 5,000 people.

Where is AXA Investment Managers based?

AXA Investment Managers is headquartered in Puteaux, France, in the Europe region.

How does AXA Investment Managers make money?

Two revenue lines are on record. Asset Management Fees are the primary driver. The others are alternative Assets Management.

Who are AXA Investment Managers's main competitors?

Direct peers on record are Amundi, Schroders, DWS Group, Legal & General Investment Management (LGIM), UBS Asset Management, Allianz Global Investors, Fidelity International and Natixis Investment Managers. Broad incumbents are BlackRock and State Street Global Advisors.

Does AXA Investment Managers have an API?

No public API is recorded for AXA Investment Managers.

What industry is AXA Investment Managers in?

AXA Investment Managers's product category is Institutional Asset Management. Its primary akta.pro industry code is FSAAABAD, Advisory Portfolio Management (Non-Discretionary), with a secondary code of FSAAAGAG, Insurance General Accounts (Institutional Asset Owners). Its NAICS code is 523940 and its SIC code is 6282.

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Live signals
FinanzNachrichten.deBNP Paribas verschmilzt fünf Axa-FondsBNP Paribas Asset Management merged five Axa funds with their own strategies after acquiring Axa Investment Managers. The merger was announced to investors, with a portfolio overview provided. The move follows the acquisition of Axa's investment unit.Les EchosUn an avant sa livraison, la tour Triangle, à Paris, cherche toujours des occupants pour ses bureauxTour Triangle, a skyscraper in Paris's 15th arrondissement near porte de Versailles, is on track for mid-2027 delivery with its exterior structure and facade nearly complete. However, the project led by Unibail-Rodamco-Westfield with partner AXA IM Alts is still actively seeking office tenants one year before the building's scheduled handover. Vincent Rouget, president of URW's management board, confirmed the progress during the company's half-year results presentation.WsjRenewed Geopolitical Uncertainty Limits Italian Bond Spread Tightening RoomMorgan Stanley closed its long five-year Italy versus Germany bond trade and a short France versus Italy/Germany basket trade, citing renewed geopolitical uncertainty that limited further spread tightening. The article also notes commentary from AXA IM's Chris Iggo, who argues that inflation impacts on bond yields are currently more significant than fiscal considerations.BloombergA $2.8 Trillion Asset Management Star Is a Deal Away From Losing Its CrownAmundi SA CEO Valerie Baudson evaluated acquiring Axa Investment Managers for about a year before abandoning the deal due to unfavorable economics. BNP Paribas SA subsequently seized the opportunity and acquired Axa Investment Managers, more than doubling the assets it oversees and creating a major competitor in Amundi's home market. The deal represents a significant competitive shift in the European asset management industry.MarketScreenerFrance's BNP Paribas Posts Higher Profit on Retail Growth, Asset Management IntegrationBNP Paribas reported a 9% rise in net profit to 3.22 billion euros for Q1, beating estimates, driven by retail growth and AXA Investment Managers integration. Revenue also exceeded forecasts at 14.06 billion euros, while operating expenses rose 5.5% on restructuring charges.Business RecorderBNP Paribas posts record Q1 net profitBNP Paribas reported a record Q1 net profit of 3.2 billion euros, up 9 percent, driven by operational performance and the AXA IM acquisition. Net banking income rose 8.5 percent to over 14 billion euros, while asset management, insurance, and savings arms jumped 32.8 percent to 1.9 billion euros.BloombergBNP Targets €350 Billion Inflows After Axa Asset Management DealBNP Paribas SA has set a target of attracting €350 billion in net inflows at its asset management business by 2030, following its €5 billion acquisition of Axa Investment Managers. The French bank projects assets under management will grow more than 5% annually, with revenue increasing around 4% annually through 2030 while keeping operating expenses flat. The deal creates one of Europe's largest money managers with approximately €1.6 trillion in overseen assets, though the bank is reportedly planning to cut about 1,200 positions during integration.WsjBNP Paribas Targets Asset-Management Growth Under 2030 PlanBNP Paribas aims to double pretax income from its asset-management unit by 2030 under a new plan after acquiring AXA's money-management arm. The Paris-based bank also targets a 13% return on tangible equity by 2028, a key profitability metric.MorningstarFrench Insurer AXA Reports Profit Rise After Asset Manager SaleFrench insurer AXA reported 9.80 billion euros in net profit for 2025, a 24% increase over 2024, driven by top-line growth and the one-off impact from the sale of AXA Investment Managers to BNP Paribas which closed in July. The company posted 115.52 billion euros in gross written premiums, up 5% year-over-year, with expansion across property, casualty, life, and health divisions. AXA's solvency II ratio improved to 224% and the company announced a 2.32 euros per share dividend and up to 1.25 billion euro share buyback program, while guiding for underlying EPS growth to stay at the upper end of its 6-8% targeted range for 2026.Axa-ImElectrification AI turbocharge clean energy outlookBNP Paribas Asset Management's Investment Insights Centre hosted a podcast discussion where Co-Head Ulrik Fugmann outlined that the clean energy investment theme is being grounded and turbocharged by increased electrification and AI. Clean energy started 2026 strongly, riding bullish sentiment around power demand, expanding electrification, and the build-out of digital infrastructure including AI datacentres. AXA Investment Managers and BNPP AM are in the process of merging and streamlining their legal entities to create a unified structure.