Nome
ISIN
  Type of yield
Valuta
Società d'investimento Prezzo di riacquisto
Data
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1a)
Vola. (1a)
 
AAM Family Values E1
FR0011911189
reinvestment
EUR
Anaxis AM 146.8400
21/01/2025
- - - - -
-
AAM Family Values I
FR0011911197
reinvestment
EUR
Anaxis AM 158.2100
21/01/2025
- - - - -
-
Anaxis Income Advantage E1
FR0013196169
reinvestment
EUR
Anaxis AM 115.4000
21/01/2025
+1.40% +6.81% +5.41% +13.57% 3.21
1.3%
Anaxis Income Advantage E2
FR0013196177
paying dividend
EUR
Anaxis AM 104.8100
21/01/2025
+1.39% +6.81% +5.45% - 3.21
1.29%
Anaxis Income Advantage I1
FR0013196219
reinvestment
EUR
Anaxis AM 120.8800
21/01/2025
+1.54% +7.39% +7.16% +16.81% 3.68
1.29%
Anaxis Income Advantage J1
FR0013196227
reinvestment
USD
Anaxis AM 115.7100
21/01/2025
+1.90% +8.93% +14.12% - 4.86
1.29%
Anaxis Income Advantage K1
FR0013196235
reinvestment
CHF
Anaxis AM 112.5100
21/01/2025
+0.91% +4.73% +1.87% +10.00% 1.59
1.3%
Anaxis Income Advantage S1
FR0013196193
reinvestment
CHF
Anaxis AM 107.2300
21/01/2025
+0.75% +4.14% +0.20% +7.34% 1.13
1.3%
Anaxis Income Advantage U1
FR0013196185
reinvestment
USD
Anaxis AM 135.9700
21/01/2025
+1.77% +8.39% +12.40% +23.86% 4.43
1.29%
Anaxis Short Duration E1
FR0010951426
reinvestment
EUR
Anaxis AM 1,344.1300
21/01/2025
+0.85% +4.11% +6.77% +8.89% 2.55
0.57%
Anaxis Short Duration E2
FR0010951434
paying dividend
EUR
Anaxis AM 1,034.7500
21/01/2025
+0.85% +4.11% +6.77% +8.86% 2.55
0.57%
Anaxis Short Duration I
FR0010951483
reinvestment
EUR
Anaxis AM 1,383.0000
21/01/2025
+0.98% +4.63% +8.38% +11.65% 3.48
0.57%
Anaxis Short Duration I4
FR0013231438
paying dividend
EUR
Anaxis AM 1,090.4500
21/01/2025
+0.98% +4.63% +8.26% - 3.48
0.57%
Anaxis Short Duration J
FR0011011618
reinvestment
USD
Anaxis AM 1,694.3600
21/01/2025
+1.36% +6.17% +14.77% - 5.60
0.63%
Anaxis Short Duration K
FR0011352202
reinvestment
CHF
Anaxis AM 1,165.5300
21/01/2025
+0.36% +2.07% +3.05% - -1.00
0.6%
Anaxis Short Duration S1
FR0010951442
reinvestment
CHF
Anaxis AM 1,201.3700
21/01/2025
+0.22% +1.50% +1.42% +2.80% -1.95
0.6%
Anaxis Short Duration U1
FR0010951467
reinvestment
USD
Anaxis AM 1,588.3199
21/01/2025
+1.23% +5.63% +13.07% +17.56% 4.77
0.62%
Anaxis Short Duration U2
FR0010951475
paying dividend
USD
Anaxis AM 1,102.9000
21/01/2025
+1.25% +5.62% +13.04% - 4.75
0.62%
DEFENSIVE BOND OPP. 2026 E1
FR001400DSF4
reinvestment
EUR
Anaxis AM 107.9600
21/01/2025
+0.56% +3.74% - - 1.06
1.01%
DEFENSIVE BOND OPP. 2026 E2
FR001400DSE7
paying dividend
EUR
Anaxis AM 109.7600
21/01/2025
+0.67% +4.20% - - 1.51
1.01%