Sorry, this file is not available at this moment
Corporate Credit Monthly Update (CCMU)
Reporting Anaxis Income AdvantageReporting Anaxis Short Duration
Reporting EU Bond Opp. 2027Reporting Diversified Bond Opp. 2025
Reporting EM Bond Opp. 2024Reporting AAM Family Values
Your Last Name:
Your First Name:
Your Email:
Your Company:



I agree

ANAXIS INCOME ADVANTAGE   NAV MTD YTD ITD
Class I1 - EUR 20 MAY 2022 104.42 -2.93% -7.72% 4.42%
Class J1 - USD 20 MAY 2022 94.40 -2.60% -7.15% -5.60%
Class K1 - CHF 20 MAY 2022 102.24 -2.94% -7.76% 2.24%
See all NAV
ANAXIS SHORT DURATION   NAV MTD YTD ITD
Class I - EUR 20 MAY 2022 1229.49 -1.26% -3.81% 22.95%
Class J - USD 20 MAY 2022 1427.75 -1.07% -3.41% 42.78%
Class K - CHF 20 MAY 2022 1089.54 -1.26% -3.93% 8.95%
See all NAV
EU BOND OPP. 2027   NAV MTD YTD ITD
Class I1 - EUR 20 MAY 2022 104.09 -1.26% -4.08% 4.09%
Class J1 - USD 20 MAY 2022 113.29 -1.07% -3.64% 13.29%
Class K1 - CHF 20 MAY 2022 101.94 -1.25% -4.04% 1.94%
See all NAV
DIVERSIFIED BOND OPP. 2025   NAV MTD YTD ITD
Class J1 - USD 20 MAY 2022 104.87 -2.39% -7.53% 4.87%
Class I1 - EUR 20 MAY 2022 97.98 -2.70% -8.10% -2.02%
Class K1 - CHF 20 MAY 2022 97.07 -2.72% -8.16% -2.93%
See all NAV
EM BOND OPP. 2024   NAV MTD YTD ITD
Class J1 - USD 20 MAY 2022 111.35 -1.75% -7.72% 11.35%
Class I1 - EUR 20 MAY 2022 102.65 -1.99% -8.29% 2.65%
Class S1 - CHF 20 MAY 2022 96.48 -2.02% -8.52% -3.52%
See all NAV
AAM FAMILY VALUES   NAV MTD YTD ITD
Class I - EUR 20 MAY 2022 140.41 -5.90% -17.47% 40.41%
Class E1 - EUR 20 MAY 2022 132.85 -5.94% -17.72% 32.85%
See all NAV