Language And Country

Contact

 
Luxembourg
16 Boulevard Royal – L-2449 Luxembourg
 
Monday to Friday
8 am to 5 pm

Funds and factsheets

BLI offers a comprehensive range of wealth management and thematic investment funds. These are managed by our in-house teams and enable you to benefit from an investment approach that focuses on high-quality stocks and steers clear of passing 'fads’ and solutions lacking in transparency.

Funds List



BL FUNDS

Bond funds

NAVPerformanceRisk level
Since 01/01/2220213 Years
BL Bond Dollar90,39USD-7,14% -2,91% -1,40%
BL Bond Euro92,84EUR-4,41% -2,40% -6,91%
BL Global Bond Opportunities90,87EUR-6,55% -1,53% -7,84%
BL Bond Emerging Markets Euro97,96EUR-11,84% -2,17% -13,00%
BL Bond Emerging Markets Sustainable105,28USD-8,18% -2,66% -1,60%

Equity funds

NAVPerformanceRisk level
Since 01/01/2220213 Years
BL Equities Asia101,79USD-17,04% -6,29% -3,92%
BL Equities Europe104,31EUR-18,02% 25,79% 15,45%
BL Equities Europe PEA101,58EUR-18,64%
BL American Small + Mid Caps207,57USD-20,97% 22,20% 35,99%
BL Equities America89,95USD-18,44% 18,40% 35,32%
BL Equities Emerging Markets82,11USD-14,42%
BL Equities Japan220,60EUR-12,72% 1,96% 8,84%
BL Equities Japan21 629,00JPY-11,76% 2,90% 12,17%
BL European Family Businesses124,26EUR-28,36% 30,71% 4,34%
BL European Small + Mid Caps196,76EUR-25,43% 28,44% 21,93%

Theme funds

NAVPerformanceRisk level
Since 01/01/2220213 Years
BL Equities Dividend237,18EUR-5,15% 21,92% 27,73%
BL Emerging Markets164,27EUR-5,24% 2,84% -2,21%
BL Sustainable Horizon102,27EUR-8,79% 17,70% 15,31%

Profile funds

NAVPerformanceRisk level
Since 01/01/2220213 Years
BL Global 30102,01EUR-1,78% 3,78% 8,98%
BL Global 50103,59EUR-2,79% 8,16% 16,37%
BL Global 75102,77EUR-4,33% 12,46% 21,95%
BL Global Equities103,62EUR-10,66% 18,64% 17,72%

Flexible funds

NAVPerformanceRisk level
Since 01/01/2220213 Years
BL Global Flexible EUR202,27EUR-6,16% 10,82% 18,99%
BL Global Flexible USD163,11USD-12,25% 7,88% 16,17%

BL FUND SELECTION

Equity funds of funds

NAVPerformanceRisk level
Since 01/01/2220213 Years
BL Fund Selection Equities247,42EUR-15,01% 11,23% 21,50%

Flexible fund of funds

NAVPerformanceRisk level
Since 01/01/2220213 Years
BL Fund Selection 0-50152,19EUR1,22% 5,67% 20,79%
BL Fund Selection Alternative Strategies97,46EUR-2,10% 0,78% -1,67%
BL Fund Selection Smart Evolution105,99EUR-4,70% 9,91%
BL Fund Selection 50-100217,11EUR-8,81% 10,70% 18,21%

Fonds - BLB

Factsheets SICAV RDT

Fonds maison - Disclaimer

Contact Thierry Felgen


If you would like more information

Thierry Feltgen
Head of Product Management & Client Services