Profile
Carl Whitbeck worked at AXA Investment Managers US, Inc. from 2002 to 2021, serving as Head of US Fixed Income from 2008 to 2021.
Mr. Whitbeck completed undergraduate studies at Williams College.
Former positions of Pepper Whitbeck
| Companies | Position | End |
|---|---|---|
AXA Investment Managers US, Inc.
AXA Investment Managers US, Inc. Investment ManagersFinance AXA IM-US is an active, long-term, global, multi-asset manager that aims to help them preserve and grow their client’s wealth. The firm’s investment philosophy is predicated upon the idea that long-term returns are built through the compounding of income earned over time and the avoidance of principal losses. Their investment process consists of three major components centered on assessing, valuing and managing risk. AXA IM-US aims to balance bottom-up (idiosyncratic) and top-down (systemic and market-related) risks against return opportunities. Their integrated investment process utilizes both quantitative and qualitative processes to construct portfolios. | Director of Research - Fxd Inc | 01/01/2008 |
Training of Pepper Whitbeck
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
Williams College
Williams College Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
AXA Investment Managers US, Inc.
AXA Investment Managers US, Inc. Investment ManagersFinance AXA IM-US is an active, long-term, global, multi-asset manager that aims to help them preserve and grow their client’s wealth. The firm’s investment philosophy is predicated upon the idea that long-term returns are built through the compounding of income earned over time and the avoidance of principal losses. Their investment process consists of three major components centered on assessing, valuing and managing risk. AXA IM-US aims to balance bottom-up (idiosyncratic) and top-down (systemic and market-related) risks against return opportunities. Their integrated investment process utilizes both quantitative and qualitative processes to construct portfolios. | Finance |
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