Our investment approach relies on active management. For us, buying the shares of a company means taking a long-term stake in that company. We are looking for companies with a sustainable competitive advantage and try to buy these companies at a price below their intrinsic value.
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BLI’s Managing Director
And fund manager of BL Global Flexible
BL Global Flexible is one of our flagship funds. It aims to generate an attractive long-term inflation-adjusted return through active and flexible asset allocation and benchmark-independent stock selection.
The fund manager aims to combine asset classes that are normally decorrelated or negatively
correlated. He focuses on:
Companies with a high return on capital employed
We are looking for companies with a sustainable competitive advantage that generate an above-average return on capital employed and high free cash flows. These companies usually have a strong balance sheet and create long-term value for their shareholders.Order the fund factsheet
BLI - Banque de Luxembourg Investments has proven experience
in fund management in three key areas:
Equities, bonds and multi-asset strategies.
We manage a range of over 30 investment funds, with assets under management totalling 11.88 billion euros at 31 October 2019.