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BL Equities Emerging Markets

Equity funds

Data as of 17/03/2023

Risk level

Recommended investment horizon : > 10 years


Performance as at 17/03/2023

2022-14,90 %


Investment objective and policy

The fund’s objective is to generate long-term capital gains by investing in quality companies with a sustainable competitive advantage and a solid ESG (environmental, social and governance) profile that are established or exercise the majority of their activity in emerging market countries. A minimum of 30% of the fund’s assets will be invested in sustainable assets. In addition to these financial objectives, environmental, social and governance performance targets for the portfolio have been set and are regularly monitored. The fund manager implements an active, long-term strategy based on solid convictions.

General information

Net Asset Value 
Calculated Every business day
NAV class B capitalisation shares (17/03/2023)82,18 USD
NAV class A distribution shares (05/02/2021)100,00 USD
CODESISIN capitalisation code : LU2292333197
ISIN distribution code : LU2292332975
WKN capitalisation code : A2QM4V
WKN distribution code : A2QM4U
Net assets (million)92,27 USD
Launch date15/02/2021