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BL Fund Selection Alternative Strategies

Mixed funds

Data as of 16/03/2023

Risk level

Recommended investment horizon : > 6 years


Performance as at 16/03/2023

2020-3,14 %
20210,78 %
2022-2,82 %


Investment objective and policy

The fund aims to generate capital appreciation over a long-term investment horizon. This flexible sub-fund invests in investment funds specialised in strategies considered as alternative, investing in different asset classes. The underlying investment funds may have short positions where they seek to profit from the sale of certain assets which they do not own or via derivatives.

General information

Net Asset Value 
Calculated Every business day
NAV class B capitalisation shares (16/03/2023)96,61 EUR
CODESISIN capitalisation code : LU1526088379
WKN capitalisation code : A2AN1P
Net assets (million)299,07 EUR
Launch date12/12/2016