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BL Fund Selection 50-100 SRI

Dynamic fund of funds

Data as of 30/05/2023

Risk level

Recommended investment horizon : > 6 years


Average annual performance since launch 3,67 %

Performance as at 30/05/2023

20208,08 %
202110,70 %
2022-11,06 %
Since 01/01/20233,06 %
Over the last 12 months-1,49 %
Over 3 years13,71 %
Since launch118,32 %


Investment objective and policy

The fund's objective is capital appreciation over a long-term investment horizon through a diversified portfolio, with lower volatility than that of the equity markets. The fund is invested without geographic, sector or currency restrictions, mainly in UCITS and other UCIs. The remaining assets may be invested in cash or any type of transferable securities listed or traded on a regulated market. The portfolio's weighting in equities may vary between 50% and 100% of net assets. The emphasis is on international diversification of the investments and flexibility in the fund's potential themes and sectors.

General information

Net Asset Value 
Calculated Every business day
NAV class B capitalisation shares (30/05/2023)218,32 EUR
CODESISIN capitalisation code : LU0135981693
WKN capitalisation code : 762211
Net assets (million)92,58 EUR
Launch date03/10/2001