Highly diversified exposure

A diversified portfolio offers investors resilience to the cycles of the real estate market. AXA IM Alts’ real estate equity strategy provides access to offices, residential, logistics, retail, hotels and more.

An industry leader

€84 bn+1
of real estate equity AUM
#1 2
real estate manager in Europe
#9 2
real estate manager worldwide

Our approach

We take equity stakes in listed and unlisted real estate, generating rental income and capital appreciation . Our scale and network give us unparalleled abilities to source and deploy capital.

Aligning interests

Our interests are in step with those of the AXA Group. Our clients benefit from the Group’s strong governance and network, and its oversight around any potential conflicts of interest. 

Integrated ESG approach

Our strategy aims to targets high-quality assets with modern building specifications and high ESG ratings. Responsible investment priorities such as decarbonisation and climate resilience are integrated into all of our investment decisions.

Why AXA IM Alts?

We are conviction-led and research-driven, investing across both traditional and emerging real estate segments on behalf of our clients.

Local deal sourcing

Extracting value in a competitive market is all about local knowledge. We have skilled teams on the ground in the most dynamic European cities to source deals and manage assets.

Expertise across asset classes

Drawing on decades of experience and strong convictions, we invest across the full asset class spectrum. Our expert team is committed to constant innovation to meet the needs of global investors.



Our open-ended real estate strategy seeks long-term, stable income from real estate assets in core markets across Europe.



Offering global investors access to a highly diverse portfolio of residential assets in markets where rental growth can be supported by social and macro changes across Europe.



Targeting regular income and long-term capital appreciation while giving investors access to sectors supported by structural changes through a diversified portfolio of European logistics assets.



Investing in sustainable forests that protect global ecosystems, capture carbon and can provide a competitive return.

An integrated approach to ESG

Environmental and social factors are integrated into all of our investment decisions. Portfolios are designed to support the UN’s goal to limit climate change to within 1.5°C and finance the energy transition.

Building for tomorrow

We target high-quality real estate assets with modern building specifications and robust ESG ratings. Maintaining and improving their environmental performance is a key part of our management strategy.

Net zero by 2050

We are part of the Net Zero Asset Managers Initiative, a group committed to supporting the goal of net zero greenhouse gas emissions by 2050. Our investments are also aligned with this target.

Discover our diverse assets
Case Study

Dolphin Square, London

We are transforming a large, historic, residential complex into a beacon of sustainability for London’s low-carbon future.

Case Study

TechnoCampus, Berlin

This listed site in Berlin has transformed into an environmentally friendly, high-tech campus offering sustainable, modern and ultra-flexible office space.

Case Study

Telli, Switzerland

Our renovations to two residential buildings in Switzerland will generate value for the properties while preparing them for a sustainable, net-zero future.

Case Study

Black, Paris

Explore a bold new development built on reclaimed industrial land in Paris. It’s a blueprint for the holistic office of the future.

Case Study

Tour First, Paris

After more than 60 years as one of the world’s most desirable business districts, Paris La Défense has its sights set on being a global leader in sustainability. At the heart of the action is the First Tower.

Get the latest real estate equity news

As a leader in alternatives investing, we have the most up-to-date information on the global property market. Discover the latest intelligence from our expert teams around the world.

Private Debt & Alternative Credit

Our 360° approach: investing in CRE debt

Explore Private Debt & Alternative Credit

Find out more

Risk warning
No assurance can be given that our strategies will be successful. Investors can lose some or all of their capital invested.


    This marketing communication does not constitute on the part of AXA Investment Managers a solicitation or investment, legal or tax advice. This material does not contain sufficient information to support an investment decision.
    Due to its simplification, this document is partial and opinions, estimates and forecasts herein are subjective and subject to change without notice. There is no guarantee forecasts made will come to pass. Data, figures, declarations, analysis, predictions and other information in this document is provided based on our state of knowledge at the time of creation of this document. Whilst every care is taken, no representation or warranty (including liability towards third parties), express or implied, is made as to the accuracy, reliability or completeness of the information contained herein. Reliance upon information in this material is at the sole discretion of the recipient. This material does not contain sufficient information to support an investment decision.

    Companies or assets are shown for illustrative purposes only and should not be considered as advice or a recommendation for an investment strategy.