AXA Advisors, New York City Branch /   



1290 Ave. of the Americas, 4th Floor
New York, NY 10019



Anthony Sages

Anthony Sages

Senior Executive Vice President

Anthony is the Senior Executive Vice President at AXA Advisors, LLC, the registered investment advisory subsidiary of AXA Financial, Inc.  AXA is a Fortune 15 company with 95 million clients in 55 countries, managing over $1.2 trillion in assets.   Anthony joined AXA directly after graduating with his MBA and achieved recognition as a star financial advisor.

Over the course of his 25 year career with AXA Financial, Inc. Anthony has risen steadily in the ranks in various divisions and positions including that of Chief Sales Office and Divisional President of AXA Advisors.    He has proven his ability to motivate, recruit and develop industry leading associates and mold them into a team that accomplishes corporate objectives while controlling expenses and maintaining profit margins.  As demonstrated by his successful career in the demanding field of global finance, Anthony enjoys the competitive aspects of his career.

Anthony attended the University of Tennessee at Chattanooga on a football scholarship and graduated with a degree in accounting. He received his MBA from the same university.  Later in his career he attended and completed the Dartmouth Executive Management Program to further develop and hone his management and leadership skills.

Anthony lives in New York City.  His leisure activities which include extreme skiing, surfing and big game hunting reflect his competitive nature. 

Securities offered through AXA Advisors, LLC (212-314-4600), member FINRA/SIPC. Annuity and insurance products offered through AXA Network, LLC and its insurance agency subsidiaries. AXA Network, LLC does business in California as AXA Network Insurance Agency of California, LLC and, in Utah, AXA Network Insurance Agency of Utah, LLC. AXA Advisors and its affiliates do not provide tax or legal advice. Individuals may transact business and/or respond to inquiries only in state(s) in which they are properly registered and/or licensed. The information in this web site is not investment or securities advice and does not constitute an offer.

Phone 212-408-9546
Check the background of this financial professional on FINRA's BrokerCheck
Check the background of this financial professional on FINRA's BrokerCheck