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LU0093570330 - BL-Equities Europe B EUR Acc

Valor liquidativo (VL)
118,05 EUR
Fecha VL
19/06/2026
Rentabilidad YTD
0,01%
BL-Equities Europe B EUR Acc - LU0093570330
BL-Equities Europe B EUR Acc - LU0093570330

Rentabilidad

Rentabilidad YTD
0,01%
Rentabilidad 1 año
0,04%
Rentabilidad 3 años
0,09%
Rentabilidad 5 años
0,04%
Rentabilidad 10 años
0,59%

Información general del fondo LU0093570330

ISIN
LU0093570330
Categoría
Equity
Gestora
Banque de Luxembourg Investments
Equipo gestor
Reuland, Wagner, Michels, Morel
Clase de activo
Equity
Divisa
EUR
Estilo de inversión
Activa
Patrimonio (AUM)
147.375.999 EUR
Nivel de riesgo (SRRI)
5/7
Fecha de lanzamiento
28/09/1990
Distribución o acumulación
accumulating

Estrategia de inversión

 

The fund's objective is to generate long-term capital gains by investing in high-quality European companies which have a sustainable competitive advantage and a sound ESG (environmental, social and governance) profile. It aims to achieve higher risk-adjusted returns than its benchmark universe over a full market cycle. Alongside these financial goals, impact targets have been set in terms of the portfolio’s ESG performance and these are regularly monitored. The fund manager implements an active, long-term strategy based on solid convictions.

  • As active, fundamental, conviction-based approach (30 to 40 stocks), purely bottom-up and oriented towards the long term; 
  • As well as valuation, constant attention is paid to the financial and ESG quality of the companies in the portfolio;
  • Integration of ESG factors at different stages of the investment process (exclusions, analysis, valuation, monitoring)
  • Regular review of the valuation of each stock and the average valuation of the portfolio;
  • Non-benchmarked management resulting in significant deviations from the initial investment universe;
  • Defined and quantifiable impact targets on environmental, social, governance and human rights aspects;
  • Low turnover.

Ratios del fondo BL-Equities Europe B EUR Acc

Comisiones (TER)
0,01%
Comisión de gestión
0,01%
Ratio de Sharpe (3 años)
0
Volatilidad (3 años)
0,12%
Máximo drawdown (5 años)
-0,26%

Cartera del fondo

ROCHE HOLDING AG
0,04%
SCHNEIDER ELECTRIC SE
0,03%
UNILEVER PLC
0,04%
ASML HOLDING N.V.
0,07%
ASTRAZENECA PLC
0,05%
DEUTSCHE BORSE AKTIENGESELLSCHAFT
0,03%
LEGRAND
0,03%
LONDON STOCK EXCHANGE GROUP PLC
0,03%
NESTLE S.A.
0,05%
NOVARTIS AG
0,03%

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