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

NAV Performance Risk level
Since 01/01/20 2019 3 Years
BL Bond Euro 1 094,05 EUR -0,23% 0,57% -0,56%
BL Global Bond Opportunities 684,90 EUR 0,04% 0,44% -1,63%
BL Bond Dollar 1 412,34 USD 6,69% 5,20% 11,53%
BL Bond Emerging Markets Dollar 115,46 USD 3,09% 8,46% 8,80%
BL Bond Emerging Markets Euro 111,10 EUR -2,20% 2,03% -2,05%
BL Bond Emerging Markets Euro 93,92 USD 1,43% 0,22% -4,71%

Equity funds

NAV Performance Risk level
Since 01/01/20 2019 3 Years
BL American Smaller Companies 180,16 USD 6,59% 27,09% 48,73%
BL Equities America 9 777,73 USD 8,69% 31,34% 46,75%
BL Equities Asia 113,46 USD 0,10% 14,61% 4,46%
BL Equities Asia 132,54 EUR -3,47% 16,68% 7,37%
BL Equities Europe 8 333,69 EUR -1,49% 25,90% 21,47%
BL European Smaller Companies 185,99 EUR 1,53% 28,27% 18,57%
BL Equities Japan 21 992,00 JPY 1,87% 19,57% 18,15%
BL Equities Japan 229,26 EUR 1,12% 18,77% 15,19%
BL European Family Businesses 119,66 EUR -5,97% 21,20% -3,05%
BL European Family Businesses 130,11 USD -4,79% 24,73% 3,89%

Theme funds

NAV Performance Risk level
Since 01/01/20 2019 3 Years
BL Emerging Markets 97,05 USD -8,66% 11,70% -6,36%
BL Equities Dividend 186,39 USD 0,69% 27,09% 33,76%
BL Equities Dividend 202,42 EUR -0,19% 23,70% 25,55%
BL Emerging Markets 156,06 EUR -11,90% 13,71% -3,74%
BL Sustainable Horizon 1 244,42 EUR -0,96% 19,59% 21,18%

Profile funds

NAV Performance Risk level
Since 01/01/20 2019 3 Years
BL Global 30 1 513,12 EUR 2,35% 8,01% 9,61%
BL Global 50 1 978,66 EUR 2,40% 14,22% 16,75%
BL Global 75 2 855,24 EUR 2,10% 19,11% 21,63%
BL Global Equities 946,76 EUR -3,24% 23,20% 19,19%

Flexible funds

NAV Performance Risk level
Since 01/01/20 2019 3 Years
BL Global Flexible USD 163,27 USD 8,84% 17,69% 29,75%
BL Global Flexible EUR 190,63 EUR 0,06% 22,54% 20,03%

BL FUND SELECTION

Equity funds of funds

NAV Performance Risk level
Since 01/01/20 2019 3 Years
BL Fund Selection Equities 237,72 EUR 3,85% 25,44% 19,24%

Flexible fund of funds

NAV Performance Risk level
Since 01/01/20 2019 3 Years
BL Fund Selection 0-50 134,17 EUR 2,51% 6,59% 3,85%
BL Fund Selection Alternative Strategies 95,80 EUR -5,96% 3,81% -5,47%
BL Fund Selection 50-100 199,72 EUR 0,89% 16,27% 9,59%

BLI conference calls/webinars

BLI arranges regular webinars with our fund managers. See below for information about the next session and how you can attend.


If you would like more information

Thierry Feltgen
Head of Product Management & Client Services