Name
|
WKN |
Fondsgesellschaft
|
Währ.
|
1-Y Perf. %
|
3-Y Perf. %
|
5-Y Perf. %
|
Volumen (Mio.)
|
Anaxis Income Advantage E1 Fonds
|
A1T7TR
|
Anaxis Asset Management
|
EUR
|
6,26
|
10,07
|
27,41
|
121,07
|
Anaxis Income Advantage E2 Fonds
|
|
Anaxis Asset Management
|
EUR
|
6,27
|
10,12
|
-
|
121,07
|
Anaxis Income Advantage I1 Fonds
|
A2DLC4
|
Anaxis Asset Management
|
EUR
|
6,85
|
11,92
|
31,03
|
121,07
|
Anaxis Income Advantage J1 Fonds
|
|
Anaxis Asset Management
|
USD
|
8,46
|
19,57
|
-
|
121,07
|
Anaxis Income Advantage K1 Fonds
|
A2DN4U
|
Anaxis Asset Management
|
CHF
|
4,04
|
5,64
|
22,84
|
121,07
|
Anaxis Income Advantage S1 Fonds
|
A1T9DT
|
Anaxis Asset Management
|
CHF
|
3,52
|
4,00
|
19,73
|
121,07
|
Anaxis Income Advantage U1 Fonds
|
A2DN4R
|
Anaxis Asset Management
|
USD
|
7,82
|
17,66
|
38,75
|
121,07
|
Anaxis Short Duration E1 Fonds
|
A1H5VJ
|
Anaxis Asset Management
|
EUR
|
4,05
|
9,69
|
16,14
|
371,29
|
Anaxis Short Duration E2 Fonds
|
A1H5VK
|
Anaxis Asset Management
|
EUR
|
4,05
|
9,69
|
16,10
|
371,29
|
Anaxis Short Duration I Fonds
|
A1J55L
|
Anaxis Asset Management
|
EUR
|
4,57
|
11,35
|
19,08
|
371,29
|
Anaxis Short Duration I4 Fonds
|
|
Anaxis Asset Management
|
EUR
|
4,57
|
11,26
|
-
|
371,29
|
Anaxis Short Duration J Fonds
|
A1JXRC
|
Anaxis Asset Management
|
USD
|
6,15
|
18,30
|
28,32
|
371,29
|
Anaxis Short Duration K Fonds
|
A1WZAY
|
Anaxis Asset Management
|
CHF
|
1,87
|
5,21
|
11,77
|
371,29
|
Anaxis Short Duration S1 Fonds
|
A1JXRA
|
Anaxis Asset Management
|
CHF
|
1,32
|
3,56
|
8,97
|
371,29
|
Anaxis Short Duration U1 Fonds
|
A1JXRB
|
Anaxis Asset Management
|
USD
|
5,63
|
16,58
|
25,23
|
371,29
|
Anaxis Short Duration U2 Fonds
|
A1JXRE
|
Anaxis Asset Management
|
USD
|
5,60
|
16,49
|
24,34
|
371,29
|
Defensive Bond Opp. 2026 E1 Fonds
|
|
Anaxis Asset Management
|
EUR
|
4,41
|
-
|
-
|
69,36
|
Defensive Bond Opp. 2026 E2 Fonds
|
|
Anaxis Asset Management
|
EUR
|
4,89
|
-
|
-
|
69,36
|
Defensive Bond Opp. 2026 I1 Fonds
|
|
Anaxis Asset Management
|
EUR
|
4,78
|
-
|
-
|
69,36
|
Defensive Bond Opp. 2026 I2 Fonds
|
|
Anaxis Asset Management
|
EUR
|
2,88
|
-
|
-
|
69,36
|