Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
Anaxis Income Advantage J1
FR0013196227
reinvestment
USD
Anaxis AM 112.9900
30/09/2024
+3.11% +12.66% +11.61% - 4.94
1.9%
Anaxis Income Advantage U1
FR0013196185
reinvestment
USD
Anaxis AM 132.9800
30/09/2024
+2.99% +12.06% +9.94% +23.27% 4.62
1.9%
European Bond Opp.2027 J1
FR0013221090
reinvestment
USD
Anaxis AM 139.3700
30/09/2024
+2.71% +10.95% +19.01% +29.90% 3.89
1.98%
Anaxis Income Advantage I1
FR0013196219
reinvestment
EUR
Anaxis AM 118.4900
30/09/2024
+2.70% +10.89% +4.90% +15.80% 4.01
1.9%
EM BOND OPP. 2028 J1
FR0012767093
reinvestment
USD
Anaxis AM 128.2000
30/09/2024
+3.06% +10.47% +5.71% +17.41% 7.01
1.03%
EM BOND OPP. 2028 J2
FR0012767101
paying dividend
USD
Anaxis AM 107.4700
30/09/2024
+3.06% +10.46% +5.70% - 7.02
1.03%
European Bond Opp.2027 U1
FR0013221058
reinvestment
USD
Anaxis AM 135.9800
30/09/2024
+2.56% +10.36% +17.57% +27.17% 3.59
1.98%
Anaxis Income Advantage E1
FR0013196169
reinvestment
EUR
Anaxis AM 113.3000
30/09/2024
+2.55% +10.28% +3.17% +12.56% 3.68
1.91%
Anaxis Income Advantage E2
FR0013196177
paying dividend
EUR
Anaxis AM 102.9000
30/09/2024
+2.55% +10.28% +3.20% - 3.68
1.91%
EM BOND OPP. 2028 U1
FR0012767044
reinvestment
USD
Anaxis AM 128.5000
30/09/2024
+2.94% +9.92% +4.13% +14.52% 6.48
1.03%
European Bond Opp.2027 I1
FR0013221074
reinvestment
EUR
Anaxis AM 121.5200
30/09/2024
+2.29% +9.19% +12.10% +19.38% 3.08
1.92%
EM BOND OPP. 2028 I1
FR0012767077
reinvestment
EUR
Anaxis AM 112.0900
30/09/2024
+2.62% +8.67% -0.70% +7.05% 5.10
1.06%
European Bond Opp.2027 E1
FR0013221033
reinvestment
EUR
Anaxis AM 116.8900
30/09/2024
+2.16% +8.64% +10.42% +16.42% 2.80
1.92%
European Bond Opp.2027 E2
FR0013221041
paying dividend
EUR
Anaxis AM 102.9700
30/09/2024
+2.15% +8.64% +10.43% +16.43% 2.79
1.92%
Anaxis Income Advantage K1
FR0013196235
reinvestment
CHF
Anaxis AM 111.1200
30/09/2024
+1.95% +8.11% +0.35% +9.72% 2.52
1.92%
EM BOND OPP. 2028 E1
FR0012767010
reinvestment
EUR
Anaxis AM 107.4400
30/09/2024
+2.49% +8.11% -2.28% +4.28% 4.58
1.06%
EM BOND OPP. 2028 E2
FR0012767036
paying dividend
EUR
Anaxis AM 100.5100
30/09/2024
+2.49% +8.10% -2.29% - 4.58
1.05%
DIVERSIFIED BOND OPP.2025 I1
FR0013330750
reinvestment
EUR
Anaxis AM 110.2700
30/09/2024
+1.58% +7.96% +3.08% +9.10% 3.18
1.47%
Anaxis Short Duration J
FR0011011618
reinvestment
USD
Anaxis AM 1,666.2600
30/09/2024
+1.87% +7.95% +13.30% - 4.82
0.97%
Anaxis Income Advantage S1
FR0013196193
reinvestment
CHF
Anaxis AM 106.1000
30/09/2024
+1.81% +7.48% -1.28% +7.06% 2.18
1.92%