Fund Selector
Find your fund
Credit Income Bx USD
ISIN: LU1806346737-0.83%-0.83%5.34%2.24%95.24( )Credit Income BxH EUR
ISIN: LU1806347388-1.28%-1.28%3.01%0.19%90.68( )Credit Income BxH HKD
ISIN: LU2066015665-1.27%-1.27%2.99%1.12%84.83( )Credit Income BxH SGD
ISIN: LU2066015582-1.47%-1.47%2.60%0.84%85.47( )Credit Income BxyH SGD
ISIN: LU323996989597.89( )Credit Income C USD
ISIN: LU1806346901-0.72%-0.72%5.86%2.76%97.58( )Credit Income CH EUR
ISIN: LU1806347545-1.14%-1.14%3.54%0.71%89.32( )Credit Income CH GBP
ISIN: LU1857098500-0.74%-0.74%5.64%2.15%97.52( )Credit Income D USD
ISIN: LU3306721880101.61( )Credit Income D2 USD
ISIN: LU2012947110-0.95%-0.95%4.81%1.73%121.76( )Credit Income D3 USD
ISIN: LU2012947201-0.96%-0.96%4.81%1.73%88.36( )Credit Income DH EUR
ISIN: LU2091212550-1.27%-1.27%3.03%0.20%106.82( )Credit Income EH EUR
ISIN: LU2216803242-1.27%-1.27%3.02%0.20%88.77( )Credit Income F USD
ISIN: LU2302992347-0.71%-0.71%5.88%2.75%115.52( )Credit Income FH EUR
ISIN: LU2302992420-1.16%-1.16%3.53%0.68%104.04( )Credit Income I USD
ISIN: LU1806347115-0.69%-0.69%5.95%2.84%140.33( )Credit Income IBH GBP
ISIN: LU2408968936-0.72%-0.72%5.71%88.11( )Credit Income IBx USD
ISIN: LU2100416994-0.69%-0.69%5.95%2.84%89.99( )Credit Income IBxH AUD
ISIN: LU321936431599.14( )Credit Income IBxH SGD
ISIN: LU2292537946-1.31%-1.31%3.20%1.41%85.33( )Credit Income IE USD
ISIN: LU2040164530-0.69%-0.69%5.95%2.85%10’334.41( )Credit Income IH AUD
ISIN: LU3307421787101.71( )Credit Income IH EUR
ISIN: LU1806347891-1.13%-1.13%3.63%0.78%118.44( )Credit Income IH GBP
ISIN: LU2154415637-0.72%-0.72%5.71%2.20%124.77( )Credit Income IH SGD
ISIN: LU2937691173-1.33%-1.33%3.19%106.90( )Credit Income M2H EUR
ISIN: LU1945299458-1.45%-1.45%2.28%-0.61%106.20( )Credit Income M3 USD
ISIN: LU2012947466-1.02%-1.02%4.55%1.40%85.37( )Credit Income M3H EUR
ISIN: LU1945299532-1.44%-1.44%2.27%-0.62%85.39( )Credit Income ZBH AUD
ISIN: LU2230645587-0.61%-0.61%6.02%2.45%85.72( )Credit Income ZH EUR
ISIN: LU2400458001-0.98%-0.98%4.26%107.50( )
*The current price is compiled using the fund's Net Asset Value, plus or minus surcharge or reduction associated with the transaction costs in the fund, as stated in the prospectus.



