In this webinar, our investment team will provide a mid-year update on credit markets through the lens of the latest geopolitical developments.
➡️ The implications of the conflict in the Middle East for inflation, monetary policy, and sovereign yields;
➡️ Ongoing dynamics in corporate credit: fundamentals, spread levels, and carry;
➡️ Our detailed sector analysis: most exposed sectors, resilient segments, and key themes to watch;
➡️ Key takeaways from our latest investment committee and their implications for portfolio allocation (duration, geography, ratings, etc.);
➡️ A portfolio update across our funds, including recent investment examples.
Founding Partner and Sales Director
Partner and Head of Fixed Income
Partner and Bond Portfolio Manager
Anaxis specialises in corporate credit for investors who firmly believe in fundamental investing based on in-depth knowledge of issuers. Since 2010, Anaxis has focused on corporate credit strategies and has developed comprehensive expertise and methods renowned for their reliability by its clients.
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