BL Equities Europe

The objective of the fund is to achieve long-term capital gains by investing in high-quality European companies benefiting from a sustainable competitive advantage. It aims to outperform its relevant benchmark return with a lower volatility.
The fund manager implements an active investment strategy based on strong convictions with a long term investment horizon.

Fund Information
Asset ManagersBLI - Banque de Luxembourg Investments S.A.
HeadquartersLuxembourg
Open / ClosedOpen for investments
RegionEurope
Asset ClassEquity Funds
StyleActive
Fund Launch1990
DomicileLuxembourg SICAV
ISIN CodeLU0093570330 (B-class - Cap)
LU0495662396 (BR-class)
LU0439765321 (BI-class - Cap)
LiquidityDaily
Management FeesB Shares: 1.25% BR Shares: 1.5% BI Shares: 0.6%
Cut-off12:00 CET
SFDRArticle 8
Key Investor Information (KIID)
Prospectus
Reports
Monthly Report
10/24/2023 BL Equities Europe_2023-09.pdf
9/11/2023 BL Equities Europe_2023-08.pdf
History

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