Acceder

BL-Equities Europe B EUR Acc

ISIN: LU0093570330

BLI - Banque de Luxembourg Investments

Valor liquidativo 12 meses 3 años
111,8 EUR * 14,19% -7,13%

Valor liquidativo 111,8 EUR

12 meses 14,19%

BL-Equities Europe B EUR Acc - LU0093570330

Información general

Divisa EUR
Tipo Renta variable
Área geográfica Zona Euro
Fecha de creación 28/09/1990
Distribución o acumulación Acumulación

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.

Rentabilidad y riesgo

Evolución

Loading...

Fuente: TechRules.

Análisis de rendimiento

Rendimiento(1) Volatilidad(2)
2019 25,90% 8,84%
2020 -0,56% 24,66%
2021 25,54% 12,42%
2022 -23,62% 17,77%
2023 11,62% 12,55%
2024 3,07% 12,84%

Fuente: TechRules.

(1) El valor acumula desde el 31 de Diciembre una rentabilidad inferior al Xtrackers Stoxx Europe 600 UCITS ETF 1C. La tendencia del rendimiento relativo de BL-Equities Europe B EUR Acc vs índice Xtrackers Stoxx Europe 600 UCITS ETF 1C es bajista.

(2) La volatilidad actual de BL-Equities Europe B EUR Acc es 12.63 %. La volatilidad de BL-Equities Europe B EUR Acc es mayor a la de Xtrackers Stoxx Europe 600 UCITS ETF 1C. La volatilidad está decreciendo en este mes. Por tanto, ahora, este es un activo de riesgo medio.

Rendimiento acumulado

Semanal1 mes3 meses1 año3 años5 añosAño actual
-3,34% -5,41% -4,16% 14,19% -7,13% 13,57% 3,07%

Otros fondos de BLI - Banque de Luxembourg Investments

BL Equities Dividend
Valor liquidativo 12 meses 3 años
186,25 EUR * 11,15% 8,27%
BL-Equities Dividend B EUR Acc
Valor liquidativo 12 meses 3 años
263,31 EUR * 13,98% 12,01%
BL-Equities Dividend BM EUR
Valor liquidativo 12 meses 3 años
271,7 EUR * 12,65% 12,27%
BL Equities Europe
Valor liquidativo 12 meses 3 años
246,47 EUR * 11,51% -9,63%
BL-Equities Japan B EUR Hedged Acc
Valor liquidativo 12 meses 3 años
312,63 EUR * 16,43% 17,80%
BL-European Family Businesses B Cap
Valor liquidativo 12 meses 3 años
140,13 EUR * 17,43% -16,72%