Luxemburg
16, boulevard Royal – L-2449 Luxembourg
 
Maandag tot vrijdag
8.00 u. tot 17.00 u.

Our expertise

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 35 investment funds with assets under management totalling 
14.71 billion euros on 30 April 2023.

KEY PRINCIPLES

Based in Luxembourg, away from the hustle and noise of the major financial centres, BLI’s Investment team is composed of experts in the search of quality investments.

BLI - Banque de Luxembourg Investments expertise is founded on several key principles: active management, patience, quality, risk awareness and responsibility towards environmental, social and governance challenges.

 

Our SRI approach

BLI - Banque de Luxembourg Investments sustainable and responsible investment policy is anchored in our historical investment philosophy based on a conviction-based, long-term investment approach. It is implemented at different stages of the investment process.

Funds under the spotlight

BL Equities Japan

The fund invests in quality Japanese companies that have a sustainable competitive advantage and a strong ESG profile.

BL Equities Emerging MarketS

The fund invests primarily in companies in Asia (excluding Japan), Latin America and the EEMEA region that have a sustainable competitive advantage and a strong ESG profile.

BL Sustainable Horizon

A global equity fund that aims to make a concrete contribution to the United Nations Sustainable Development Goals (SDGs).

BL Equities Europe

European equity fund that combines long-term financial performance objectives with specific impact objectives.

BL Equities America

US large-cap fund that combines long-term financial performance objectives with specific impact objectives.

 

Equity

Integration into all steps of the investment process
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Funds under the spotlight

BL Bond Emerging Markets Sustainable

An emerging debt fund combines ESG optimisation of the sovereign pocket with impact investments (green bonds and microfinance).

 

BL Global Bond Opportunities

A fund that allows for optimal diversification within the different fixed income sub-asset classes and opportunistic exposure to impact management.

 

FIXED INCOME

Various approached combined depending on the defined objectives
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Fund under the spotlight

BL gLOBAL FLEXIBLE eur

A mixed fund that aims to generate an attractive return over the medium term through a flexible global allocation strategy.

 

FLEXIBLE

ESG factors fully integrated in the analysis and construction of the portfolio

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