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Détail d'un fonds

Funds Detail

BL Equities Japan

Equity funds

Data as of 24/06/2022

Risk level

Recommended investment horizon : > 10 years


Average annual performance since launch 8,90 %

Performance as at 24/06/2022

201918,77 %
20209,33 %
20211,96 %
Since 01/01/2022-12,02 %
Over the last 12 months-13,07 %
Over 3 years9,14 %
Since launch122,38 %


Investment objective and policy

The objective of the fund is to generate long-term capital gains by investing in quality Japanese companies that have a sustainable competitive advantage. It aims to generate higher risk-adjusted returns than its benchmark universe over a full market cycle. 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 (24/06/2022)222,38 EUR
CODESISIN capitalisation code : LU0887931292
WKN capitalisation code : A1KCRH
Net assets (million)574,80 EUR
Launch date01/03/2013

Asset Publisher

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