📸 A look back in pictures at our Madrid event (30th October 2025). Many thanks to our Spanish partners and clients for joining us and sharing this moment. The session featured a credit market update, presentation of Anaxis funds, and insightful discussions over lunch ✨
Speakers at Anaxis Asset Management were Jean-Julien Goettmann, Thibault Destrés and Christophe Sanchez. Key highlights of the presentation:
⏩ Perspectives for bond markets:
- Moderate growth and inflation in line
- Spreads expected to remain stable
- Carry remains attractive
- A dynamic primary market
- A favorable context for issuers and investors
⏩ Diversified Bond Opp. 2029:
- 2029 maturity is well-suited to capture opportunities
- 5%+ yield in EUR is attractive compared to short and long rates
- Preference for resilient sectors
- Expertise in bond-picking for over 15 years, with financial and extra-financial approach
- Article 9 fund, which focuses on decarbonisation and governance risks
⏩ Anaxis Short Duration:
- Income generation and capital preservation
- Low volatility and correlation
- 4%+ yield in EUR is attractive compared to short/long rates and yields of money markets funds
- Article 9 fund, which focuses on decarbonisation and governance risks
More information on the featured funds:
Diversified Bond Opp. 2029:
https://anaxis-am.com/en/funds/diversified-bond-opp-2029/
Anaxis Short Duration:
https://anaxis-am.com/en/funds/anaxis-short-duration/
Disclaimer: these funds present a risk of capital loss, interest rate risk and credit risk. Past performance is not indicative of future performance.






