# Axxion Asset Management

Axxion Asset Management is an Asset Manager based in Lima, Peru.

## Overview

- **Organization type:** Asset Manager
- **Headquarters:** Lima, Peru
- **Region:** Latin America
- **Address:** Lima, Peru
- **Founded:** 2001
- **Assets under management:** Undisclosed
- **Website:** axxion.com.pe
- **LinkedIn:** https://www.linkedin.com/company/axxion-asset-management

## Regulatory record

- **Reports private funds:** No

## About

Axxion is an owner-managed, group-independent service company that realises private-label funds together with fund initiators. Quality and fairness form the core of its business strategy. The firm is independent of banks and insurers and deliberately forgoes its own investment strategies, enabling full alignment of interests with partners such as asset managers, family offices and institutional initiators.

## Sectors

- Distressed Debt
- Growth

## People

- Thomas Amend — Gründer
- Pierre Girardet — Vorstand
- Stefan Schneider — Vorstand (Vorsitz)
- Armin Clemens — Vorstand
- Benjamin Linn — Client Relationship Management
- Katrin Rommelfanger — Client Service | Capital Markets
- Christoph Ollinger — Legal Service | Outsourcing Controlling
- Martin Genannt — Business Development
- Kerstin Klein — Ansprechpartnerin für allgemeine Anliegen
- Melanie Thull — Human Resources

## Questions

### Who leads investment decisions at Axxion Asset Management?

Axxion has not publicly disclosed its senior investment leadership or named principals. The firm operates from a single Lima office, and public record does not confirm the identity of its founders, managing partners, or investment committee members. This limited disclosure is not unusual among smaller, locally focused Peruvian asset managers, many of which raise capital from a tight network of family offices and high-net-worth individuals without publicly marketing their teams.

### How does the Peruvian market environment affect Axxion's strategy?

Peru's corporate landscape is characterized by bank-centric credit markets and shallow bond-market depth, creating financing gaps for mid-sized companies. These structural constraints produce a steady pipeline of distressed situations — particularly during commodity-price downturns or political disruptions — while also limiting growth capital availability. Axxion's dual strategy targets both sides of this market inefficiency: the debt book captures value during stress cycles, and the equity book funds expansion when traditional bank lending is insufficient.

## Related profiles

- [Kvika Asset Management](https://altss.com/profile/kvika-asset-management)
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Last updated: 2026-08-11T15:06:13.093Z

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