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

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.



BL FUNDS

Bond funds

NAVPerformanceRisk level
Since 01/01/2320223 Years
BL Bond Dollar89,67USD2,77% -10,37% -8,92%
BL Bond Euro88,03EUR2,33% -11,42% -10,67%
BL Global Bond Opportunities88,54EUR1,00% -9,85% -7,37%
BL Bond Emerging Markets Dollar106,19USD0,77% -8,09% -1,47%
BL Bond Emerging Markets Euro93,94EUR0,22% -15,65% -14,61%

Equity funds

NAVPerformanceRisk level
Since 01/01/2320223 Years
BL Equities Asia101,76USD0,56% -17,53% 11,42%
BL Equities Emerging Markets82,18USD0,65% -14,90%
BL Equities Europe101,23EUR4,17% -23,62% 26,33%
BL Equities Europe PEA97,95EUR5,58% -25,69%
BL Equities Japan235,57EUR2,48% -9,06% 36,90%
BL Equities Japan22 973,00JPY2,22% -8,31% 39,59%
BL European Family Businesses129,97EUR7,11% -30,04% 40,10%
BL European Small + Mid Caps206,03EUR10,38% -29,26% 55,82%
BL American Small + Mid Caps218,84USD1,71% -18,08% 60,68%
BL Equities America89,41USD0,95% -19,69% 45,61%

Theme funds

NAVPerformanceRisk level
Since 01/01/2320223 Years
BL Emerging Markets165,38EUR0,20% -4,79% 16,89%
BL Equities Dividend230,57EUR1,12% -8,81% 29,29%
BL Global Impact100,80EUR3,58% -13,20% 21,09%

Profile funds

NAVPerformanceRisk level
Since 01/01/2320223 Years
BL Global 3099,42EUR2,76% -6,85% 4,29%
BL Global 50101,70EUR2,98% -7,32% 13,56%
BL Global 75100,22EUR2,75% -9,20% 20,91%
BL Global Equities102,97EUR4,40% -14,97% 27,69%

Flexible funds

NAVPerformanceRisk level
Since 01/01/2320223 Years
BL Global Flexible EUR197,52EUR1,80% -9,99% 15,48%
BL Global Flexible USD164,89USD1,43% -12,55% 22,05%

BL FUND SELECTION

Equity funds of funds

NAVPerformanceRisk level
Since 01/01/2320223 Years
BL Fund Selection Equities251,71EUR2,48% -15,58% 45,78%

Flexible fund of funds

NAVPerformanceRisk level
Since 01/01/2320223 Years
BL Fund Selection 0-50146,85EUR-1,99% -0,87% 21,22%
BL Fund Selection Alternative Strategies96,61EUR-0,10% -2,82% 3,89%
BL Fund Selection Smart Evolution104,17EUR0,25% -6,55%
BL Fund Selection 50-100213,33EUR0,70% -11,06% 32,09%

Factsheets SICAV RDT


If you would like more information

Julian Berardi
Senior Distribution &
Product Servicing Officer