| - |
CHF |
LU0748867792 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,45 |
-2,15 |
0,43 |
1,57 |
1,39 |
1,93 |
31/mrt/2026 |
-2,15 |
-4,69 |
8,61 |
-2,96 |
10,01 |
31/mrt/2026 |
-1,45 |
-0,80 |
1,28 |
8,12 |
14,75 |
30,89 |
31/mrt/2026 |
8,28 |
-5,25 |
2,58 |
4,50 |
-3,72 |
31/dec/2025 |
09/mrt/2012 |
- |
152,10 |
- |
426,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171306680 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
3,68 |
88,94 |
38,31 |
21,67 |
13,45 |
- |
31/mrt/2026 |
88,94 |
45,70 |
-3,88 |
-11,70 |
14,10 |
31/mrt/2026 |
3,68 |
24,26 |
164,59 |
166,59 |
253,23 |
- |
31/mrt/2026 |
-3,77 |
-12,38 |
2,33 |
20,57 |
128,37 |
31/dec/2025 |
01/sep/1998 |
323.972.232,75 |
76,52 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0628613712 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
0,32 |
-1,18 |
5,40 |
2,68 |
4,27 |
5,44 |
31/mrt/2026 |
-1,18 |
6,27 |
11,50 |
-4,54 |
2,09 |
31/mrt/2026 |
0,32 |
1,58 |
17,09 |
14,12 |
51,90 |
119,76 |
31/mrt/2026 |
10,01 |
-8,02 |
7,50 |
14,83 |
-4,82 |
31/dec/2025 |
20/mei/2011 |
31.715.499,39 |
25,29 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0162660350 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,12 |
1,61 |
4,00 |
-0,62 |
0,88 |
2,65 |
31/mrt/2026 |
1,61 |
3,60 |
6,86 |
-8,24 |
-6,09 |
31/mrt/2026 |
-1,12 |
-0,87 |
12,50 |
-3,06 |
9,13 |
67,37 |
31/mrt/2026 |
-1,84 |
-14,77 |
8,84 |
3,97 |
2,67 |
31/dec/2025 |
31/jul/2006 |
3.354.525,22 |
12,82 |
- |
2.050,30 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0171283459 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-2,23 |
7,54 |
7,99 |
4,21 |
6,15 |
6,02 |
31/mrt/2026 |
7,54 |
1,59 |
15,29 |
-5,98 |
3,80 |
31/mrt/2026 |
-2,23 |
0,99 |
25,95 |
22,92 |
81,67 |
299,02 |
31/mrt/2026 |
14,94 |
-11,22 |
8,65 |
16,10 |
3,86 |
31/dec/2025 |
31/jul/2002 |
2.391.774.061,20 |
81,51 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0212925753 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,46 |
11,77 |
7,73 |
1,52 |
3,91 |
3,94 |
31/mrt/2026 |
11,77 |
-0,05 |
11,91 |
-10,89 |
-3,20 |
31/mrt/2026 |
-4,46 |
-1,89 |
25,02 |
7,84 |
46,69 |
124,77 |
31/mrt/2026 |
5,20 |
-18,98 |
9,63 |
7,01 |
14,63 |
31/dec/2025 |
22/apr/2005 |
725.299.113,35 |
51,87 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0236177068 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,04 |
13,85 |
9,42 |
2,92 |
4,97 |
4,47 |
31/mrt/2026 |
13,85 |
1,48 |
13,41 |
-9,74 |
-2,36 |
31/mrt/2026 |
-4,04 |
-0,94 |
31,02 |
15,47 |
62,39 |
143,08 |
31/mrt/2026 |
5,81 |
-17,96 |
11,26 |
8,42 |
16,81 |
31/dec/2025 |
30/nov/2005 |
90.844.201,36 |
45,77 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0240613025 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,47 |
11,76 |
7,72 |
1,52 |
3,91 |
3,58 |
31/mrt/2026 |
11,76 |
-0,05 |
11,91 |
-10,86 |
-3,21 |
31/mrt/2026 |
-4,47 |
-1,89 |
25,00 |
7,85 |
46,69 |
96,46 |
31/mrt/2026 |
5,19 |
-18,98 |
9,63 |
6,99 |
14,65 |
31/dec/2025 |
24/jan/2007 |
35.648.877,28 |
46,77 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0308772762 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,58 |
11,19 |
7,61 |
2,16 |
5,01 |
3,55 |
31/mrt/2026 |
11,19 |
-0,17 |
12,28 |
-8,72 |
-2,20 |
31/mrt/2026 |
-4,58 |
-2,19 |
24,63 |
11,25 |
63,10 |
91,80 |
31/mrt/2026 |
6,08 |
-17,07 |
10,53 |
6,86 |
14,14 |
31/dec/2025 |
31/jul/2007 |
87.982.908,76 |
20,37 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0329591480 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,30 |
12,58 |
8,53 |
2,28 |
4,68 |
3,51 |
31/mrt/2026 |
12,58 |
0,73 |
12,73 |
-10,20 |
-2,48 |
31/mrt/2026 |
-4,30 |
-1,55 |
27,83 |
11,95 |
58,05 |
88,72 |
31/mrt/2026 |
6,00 |
-18,39 |
10,48 |
7,81 |
15,51 |
31/dec/2025 |
12/nov/2007 |
225.220.800,45 |
59,58 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0329592538 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,70 |
15,58 |
10,89 |
4,62 |
7,07 |
5,19 |
31/mrt/2026 |
15,58 |
2,44 |
15,14 |
-6,94 |
-1,20 |
31/mrt/2026 |
-3,70 |
-0,35 |
36,34 |
25,36 |
97,96 |
153,63 |
31/mrt/2026 |
7,07 |
-15,70 |
13,36 |
9,65 |
18,29 |
31/dec/2025 |
12/nov/2007 |
997.081.452,98 |
109,44 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0343169966 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-5,04 |
9,42 |
5,40 |
0,14 |
3,03 |
2,24 |
31/mrt/2026 |
9,42 |
-2,37 |
9,61 |
-11,25 |
-3,11 |
31/mrt/2026 |
-5,04 |
-3,00 |
17,09 |
0,68 |
34,81 |
49,15 |
31/mrt/2026 |
4,88 |
-18,86 |
7,59 |
4,73 |
12,18 |
31/dec/2025 |
29/feb/2008 |
23.352.444,56 |
15,79 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0408221512 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-2,23 |
7,53 |
8,00 |
4,21 |
6,15 |
7,19 |
31/mrt/2026 |
7,53 |
1,60 |
15,29 |
-5,98 |
3,80 |
31/mrt/2026 |
-2,23 |
0,99 |
25,96 |
22,92 |
81,66 |
230,01 |
31/mrt/2026 |
14,95 |
-11,23 |
8,65 |
16,09 |
3,87 |
31/dec/2025 |
19/jan/2009 |
1.081.983.424,56 |
76,93 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0468326631 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,05 |
13,28 |
8,50 |
2,33 |
5,19 |
5,95 |
31/mrt/2026 |
13,28 |
0,42 |
12,28 |
-9,70 |
-2,70 |
31/mrt/2026 |
-4,05 |
-1,03 |
27,72 |
12,23 |
65,80 |
146,58 |
31/mrt/2026 |
5,48 |
-17,82 |
10,19 |
7,27 |
16,00 |
31/dec/2025 |
22/jan/2010 |
203.778.309,15 |
25,70 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0480534592 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,09 |
14,42 |
10,30 |
4,42 |
6,19 |
6,13 |
31/mrt/2026 |
14,42 |
2,16 |
14,79 |
-5,37 |
-2,24 |
31/mrt/2026 |
-4,09 |
-0,91 |
34,17 |
24,13 |
82,28 |
160,30 |
31/mrt/2026 |
5,86 |
-14,60 |
13,29 |
9,18 |
17,59 |
31/dec/2025 |
01/mrt/2010 |
19.094.330,80 |
27,69 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0523293024 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-2,06 |
8,34 |
8,81 |
5,00 |
6,95 |
7,17 |
31/mrt/2026 |
8,34 |
2,37 |
16,15 |
-5,27 |
4,58 |
31/mrt/2026 |
-2,06 |
1,38 |
28,82 |
27,62 |
95,78 |
195,75 |
31/mrt/2026 |
15,81 |
-10,56 |
9,46 |
16,99 |
4,65 |
31/dec/2025 |
09/aug/2010 |
248.388.314,41 |
93,61 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0530192003 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,25 |
13,79 |
9,73 |
3,89 |
5,66 |
5,65 |
31/mrt/2026 |
13,79 |
1,63 |
14,25 |
-5,79 |
-2,76 |
31/mrt/2026 |
-4,25 |
-1,19 |
32,13 |
21,04 |
73,38 |
136,27 |
31/mrt/2026 |
5,35 |
-15,00 |
12,69 |
8,64 |
17,02 |
31/dec/2025 |
04/aug/2010 |
3.762.819,99 |
25,63 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
HUF |
LU0566074125 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-2,18 |
2,91 |
8,43 |
5,43 |
8,32 |
8,45 |
31/mrt/2026 |
2,91 |
3,65 |
19,52 |
-2,89 |
5,21 |
31/mrt/2026 |
-2,18 |
-0,36 |
27,49 |
30,25 |
122,44 |
246,44 |
31/mrt/2026 |
16,82 |
-3,61 |
3,59 |
24,82 |
-2,86 |
31/dec/2025 |
08/dec/2010 |
4.782.912.520,78 |
29.743,96 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0212926132 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,59 |
11,21 |
7,19 |
1,02 |
3,39 |
3,63 |
31/mrt/2026 |
11,21 |
-0,54 |
11,35 |
-11,33 |
-3,68 |
31/mrt/2026 |
-4,59 |
-2,15 |
23,17 |
5,20 |
39,55 |
110,79 |
31/mrt/2026 |
4,66 |
-19,38 |
9,10 |
6,44 |
14,09 |
31/dec/2025 |
22/apr/2005 |
369.876.680,00 |
47,93 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171283533 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-2,35 |
6,99 |
7,46 |
3,69 |
5,62 |
5,20 |
31/mrt/2026 |
6,99 |
1,08 |
14,72 |
-6,46 |
3,29 |
31/mrt/2026 |
-2,35 |
0,75 |
24,08 |
19,88 |
72,77 |
233,57 |
31/mrt/2026 |
14,37 |
-11,67 |
8,11 |
15,51 |
3,36 |
31/dec/2025 |
01/jul/2002 |
851.478.121,03 |
72,28 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147396450 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,99 |
14,15 |
9,52 |
3,33 |
5,74 |
5,82 |
31/mrt/2026 |
14,15 |
1,18 |
13,73 |
-8,10 |
-2,42 |
31/mrt/2026 |
-3,99 |
-0,96 |
31,35 |
17,79 |
74,74 |
283,02 |
31/mrt/2026 |
5,73 |
-16,74 |
11,95 |
8,27 |
16,82 |
31/dec/2025 |
01/jul/2002 |
326.351.591,64 |
84,50 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0724617625 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,87 |
14,73 |
10,06 |
3,84 |
6,27 |
5,79 |
31/mrt/2026 |
14,73 |
1,68 |
14,28 |
-7,64 |
-1,93 |
31/mrt/2026 |
-3,87 |
-0,72 |
33,32 |
20,76 |
83,69 |
122,92 |
31/mrt/2026 |
6,27 |
-16,33 |
12,51 |
8,83 |
17,40 |
31/dec/2025 |
30/dec/2011 |
205.016.269,85 |
89,94 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0683067952 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
1,55 |
9,11 |
3,98 |
0,48 |
3,48 |
3,73 |
31/mrt/2026 |
9,11 |
5,10 |
-1,98 |
-7,69 |
-1,29 |
31/mrt/2026 |
1,55 |
3,50 |
12,41 |
2,43 |
40,80 |
69,45 |
31/mrt/2026 |
0,54 |
-11,65 |
-0,70 |
3,69 |
9,33 |
31/dec/2025 |
11/nov/2011 |
24.349.595,14 |
9,57 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU0359204632 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-7,42 |
-0,94 |
0,94 |
-10,76 |
0,20 |
4,35 |
31/mrt/2026 |
-0,94 |
26,95 |
-18,20 |
-17,29 |
-33,47 |
31/mrt/2026 |
-7,42 |
-14,75 |
2,86 |
-43,40 |
2,02 |
107,58 |
31/mrt/2026 |
-16,34 |
-34,76 |
-15,01 |
13,10 |
19,39 |
31/dec/2025 |
29/jan/2009 |
32.027.427,00 |
13,63 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0288299570 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-15,17 |
-18,27 |
0,27 |
1,74 |
5,87 |
6,04 |
31/mrt/2026 |
-18,27 |
-0,56 |
24,02 |
-9,46 |
19,44 |
31/mrt/2026 |
-15,17 |
-11,72 |
0,80 |
9,01 |
76,91 |
206,49 |
31/mrt/2026 |
36,81 |
-8,96 |
13,81 |
15,65 |
-13,44 |
31/dec/2025 |
27/feb/2007 |
10.452.657,68 |
48,17 |
- |
360,41 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0764617162 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,47 |
10,35 |
11,51 |
3,36 |
3,77 |
3,59 |
31/mrt/2026 |
10,35 |
7,13 |
17,28 |
-9,94 |
-5,53 |
31/mrt/2026 |
-1,47 |
2,31 |
38,65 |
17,95 |
44,78 |
63,89 |
31/mrt/2026 |
-2,91 |
-16,85 |
15,29 |
8,11 |
14,48 |
31/dec/2025 |
02/apr/2012 |
44.151.215,83 |
7,67 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0764619960 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,74 |
8,37 |
10,05 |
2,27 |
2,91 |
2,92 |
31/mrt/2026 |
8,37 |
5,92 |
16,11 |
-10,98 |
-5,72 |
31/mrt/2026 |
-1,74 |
1,74 |
33,28 |
11,86 |
33,20 |
49,50 |
31/mrt/2026 |
-3,14 |
-17,48 |
13,89 |
6,80 |
12,56 |
31/dec/2025 |
02/apr/2012 |
80.338.742,41 |
53,89 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0764618640 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,25 |
5,93 |
7,96 |
2,82 |
4,90 |
4,50 |
31/mrt/2026 |
5,93 |
6,91 |
11,10 |
-5,71 |
-3,15 |
31/mrt/2026 |
-1,25 |
0,18 |
25,82 |
14,91 |
61,33 |
85,07 |
31/mrt/2026 |
2,17 |
-12,81 |
11,83 |
8,21 |
8,07 |
31/dec/2025 |
02/apr/2012 |
154.190.281,38 |
5,90 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0764618053 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,52 |
5,85 |
6,13 |
-0,66 |
1,79 |
2,55 |
31/mrt/2026 |
5,85 |
6,82 |
5,73 |
-6,32 |
-13,64 |
31/mrt/2026 |
-0,52 |
0,39 |
19,55 |
-3,27 |
19,37 |
42,20 |
31/mrt/2026 |
-7,43 |
-16,07 |
5,76 |
6,42 |
9,36 |
31/dec/2025 |
02/apr/2012 |
438.690.039,21 |
8,34 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0171298721 |
BGF US Mid-Cap Value Fund |
BlackRock (Luxembourg) S.A. |
-2,25 |
2,46 |
5,90 |
5,38 |
7,82 |
- |
31/mrt/2026 |
2,46 |
-1,31 |
17,45 |
-7,58 |
18,40 |
31/mrt/2026 |
-2,25 |
-0,09 |
18,76 |
29,95 |
112,34 |
- |
31/mrt/2026 |
35,36 |
-0,42 |
7,26 |
13,73 |
-1,21 |
31/dec/2025 |
01/sep/1998 |
28.533.174,58 |
319,28 |
- |
339,23 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0072462426 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,88 |
14,71 |
10,06 |
3,85 |
6,27 |
6,59 |
31/mrt/2026 |
14,71 |
1,69 |
14,29 |
-7,64 |
-1,93 |
31/mrt/2026 |
-3,88 |
-0,72 |
33,32 |
20,77 |
83,67 |
546,95 |
31/mrt/2026 |
6,27 |
-16,33 |
12,52 |
8,82 |
17,40 |
31/dec/2025 |
03/jan/1997 |
4.872.861.096,72 |
95,30 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0297945965 |
BGF US Dollar Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,79 |
3,61 |
4,22 |
2,82 |
1,30 |
2,42 |
31/mrt/2026 |
3,61 |
4,53 |
4,52 |
1,72 |
-0,21 |
31/mrt/2026 |
0,79 |
1,71 |
13,19 |
14,90 |
13,81 |
116,80 |
31/mrt/2026 |
-0,24 |
0,85 |
4,21 |
4,66 |
3,82 |
31/dec/2025 |
30/nov/1993 |
10.900.854,64 |
217,39 |
- |
581,35 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0006061419 |
BGF US Dollar Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,79 |
3,76 |
4,46 |
3,14 |
2,05 |
2,13 |
31/mrt/2026 |
3,76 |
4,68 |
4,95 |
2,48 |
-0,07 |
31/mrt/2026 |
0,79 |
1,73 |
13,99 |
16,74 |
22,46 |
97,79 |
31/mrt/2026 |
-0,02 |
1,35 |
4,81 |
4,90 |
3,96 |
31/dec/2025 |
30/nov/1993 |
471.634.204,22 |
185,25 |
- |
581,35 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0172419748 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,03 |
3,91 |
4,41 |
1,72 |
1,88 |
1,22 |
31/mrt/2026 |
3,91 |
5,32 |
3,99 |
-0,54 |
-3,80 |
31/mrt/2026 |
-0,03 |
1,18 |
13,81 |
8,89 |
20,49 |
31,56 |
31/mrt/2026 |
-0,71 |
-5,09 |
4,91 |
4,55 |
5,43 |
31/dec/2025 |
01/sep/2003 |
20.353.716,67 |
8,15 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0408222320 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
3,81 |
89,86 |
39,01 |
22,27 |
14,02 |
7,98 |
31/mrt/2026 |
89,86 |
46,48 |
-3,41 |
-11,26 |
14,66 |
31/mrt/2026 |
3,81 |
24,58 |
168,61 |
173,32 |
271,23 |
274,67 |
31/mrt/2026 |
-3,27 |
-11,94 |
2,80 |
21,18 |
129,56 |
31/dec/2025 |
19/jan/2009 |
102.481.646,08 |
87,59 |
- |
11.254,06 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0408222247 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
38,76 |
30,30 |
15,46 |
21,49 |
8,69 |
5,56 |
31/mrt/2026 |
30,30 |
-0,57 |
18,80 |
4,73 |
64,22 |
31/mrt/2026 |
38,76 |
40,52 |
53,91 |
164,72 |
130,12 |
153,65 |
31/mrt/2026 |
52,77 |
48,06 |
0,10 |
8,75 |
-3,54 |
31/dec/2025 |
19/jan/2009 |
26.390.502,49 |
26,54 |
- |
2.691,53 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0406496546 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,97 |
5,63 |
6,89 |
4,97 |
9,63 |
13,08 |
31/mrt/2026 |
5,63 |
-3,57 |
19,90 |
-0,60 |
4,97 |
31/mrt/2026 |
-4,97 |
-1,74 |
22,13 |
27,44 |
150,74 |
736,32 |
31/mrt/2026 |
26,79 |
-23,81 |
19,95 |
8,50 |
11,34 |
31/dec/2025 |
22/dec/2008 |
700.519.960,05 |
55,64 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0425308086 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,76 |
3,48 |
2,50 |
1,16 |
2,53 |
3,31 |
31/mrt/2026 |
3,48 |
2,77 |
1,25 |
-4,87 |
3,44 |
31/mrt/2026 |
0,76 |
1,05 |
7,67 |
5,95 |
28,42 |
72,60 |
31/mrt/2026 |
4,22 |
-9,20 |
4,78 |
0,86 |
4,64 |
31/dec/2025 |
19/jun/2009 |
36.033.610,22 |
17,38 |
- |
138,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0425308169 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,37 |
1,26 |
0,49 |
-0,74 |
0,47 |
1,90 |
31/mrt/2026 |
1,26 |
0,97 |
-0,74 |
-7,61 |
2,75 |
31/mrt/2026 |
0,37 |
0,07 |
1,49 |
-3,66 |
4,83 |
36,80 |
31/mrt/2026 |
3,43 |
-11,36 |
2,44 |
-0,82 |
2,33 |
31/dec/2025 |
23/jul/2009 |
4.901.785,81 |
13,75 |
- |
138,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0425308243 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,74 |
3,49 |
2,48 |
1,16 |
2,53 |
3,25 |
31/mrt/2026 |
3,49 |
2,70 |
1,27 |
-4,89 |
3,48 |
31/mrt/2026 |
0,74 |
1,00 |
7,64 |
5,94 |
28,37 |
70,63 |
31/mrt/2026 |
4,22 |
-9,24 |
4,85 |
0,84 |
4,62 |
31/dec/2025 |
23/jul/2009 |
758.275,60 |
16,67 |
- |
138,42 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0448666502 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,41 |
1,61 |
0,86 |
-0,39 |
0,84 |
2,10 |
31/mrt/2026 |
1,61 |
1,35 |
-0,35 |
-7,27 |
3,04 |
31/mrt/2026 |
0,41 |
0,28 |
2,61 |
-1,96 |
8,68 |
40,97 |
31/mrt/2026 |
3,83 |
-11,00 |
2,76 |
-0,50 |
2,77 |
31/dec/2025 |
08/sep/2009 |
7.914.430,83 |
14,60 |
- |
138,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0448666684 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,83 |
3,86 |
2,85 |
1,52 |
2,90 |
3,18 |
31/mrt/2026 |
3,86 |
3,10 |
1,60 |
-4,54 |
3,83 |
31/mrt/2026 |
0,83 |
1,22 |
8,79 |
7,83 |
33,07 |
67,98 |
31/mrt/2026 |
4,64 |
-8,92 |
5,23 |
1,17 |
5,03 |
31/dec/2025 |
01/sep/2009 |
8.028.942,94 |
18,45 |
- |
138,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0452734238 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,16 |
0,64 |
-0,03 |
-1,26 |
-0,04 |
1,23 |
31/mrt/2026 |
0,64 |
0,48 |
-1,19 |
-8,10 |
2,24 |
31/mrt/2026 |
0,16 |
-0,24 |
-0,08 |
-6,12 |
-0,40 |
22,37 |
31/mrt/2026 |
2,89 |
-11,73 |
1,87 |
-1,36 |
1,87 |
31/dec/2025 |
17/sep/2009 |
52.988.679,88 |
12,65 |
- |
138,42 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0071969892 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-5,54 |
9,06 |
5,71 |
4,62 |
9,81 |
11,05 |
31/mrt/2026 |
9,06 |
-6,38 |
15,70 |
2,71 |
3,32 |
31/mrt/2026 |
-5,54 |
-2,44 |
18,12 |
25,35 |
154,88 |
775,24 |
31/mrt/2026 |
17,58 |
-20,25 |
16,98 |
2,59 |
16,51 |
31/dec/2025 |
22/jul/2005 |
35.559.008,93 |
40,89 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0278456651 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,20 |
3,41 |
4,14 |
0,80 |
1,38 |
2,10 |
31/mrt/2026 |
3,41 |
4,31 |
4,71 |
-4,67 |
-3,34 |
31/mrt/2026 |
-1,20 |
-0,35 |
12,94 |
4,07 |
14,74 |
49,03 |
31/mrt/2026 |
-0,45 |
-8,14 |
4,82 |
3,19 |
6,10 |
31/dec/2025 |
01/feb/2007 |
97.155.465,11 |
11,62 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0278456818 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,44 |
2,36 |
3,07 |
-0,21 |
0,37 |
1,11 |
31/mrt/2026 |
2,36 |
3,32 |
3,55 |
-5,62 |
-4,24 |
31/mrt/2026 |
-1,44 |
-0,83 |
9,51 |
-1,04 |
3,80 |
23,67 |
31/mrt/2026 |
-1,44 |
-9,08 |
3,79 |
2,21 |
4,98 |
31/dec/2025 |
01/feb/2007 |
111.251.660,65 |
9,64 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0278465488 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,48 |
2,43 |
3,49 |
0,82 |
1,98 |
2,18 |
31/mrt/2026 |
2,43 |
3,66 |
4,39 |
-3,14 |
-2,96 |
31/mrt/2026 |
-1,48 |
-0,94 |
10,84 |
4,17 |
21,63 |
51,07 |
31/mrt/2026 |
-0,04 |
-6,81 |
4,95 |
2,56 |
5,22 |
31/dec/2025 |
01/feb/2007 |
91.854.082,63 |
23,40 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0280465617 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,81 |
5,28 |
5,70 |
2,21 |
2,98 |
2,94 |
31/mrt/2026 |
5,28 |
5,59 |
6,23 |
-2,61 |
-3,01 |
31/mrt/2026 |
-0,81 |
0,50 |
18,08 |
11,55 |
34,11 |
74,35 |
31/mrt/2026 |
-0,09 |
-6,46 |
6,56 |
4,47 |
7,89 |
31/dec/2025 |
01/feb/2007 |
27.290.710,89 |
10,36 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0280467159 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,31 |
3,00 |
3,62 |
0,29 |
0,88 |
1,62 |
31/mrt/2026 |
3,00 |
3,79 |
4,08 |
-5,16 |
-3,86 |
31/mrt/2026 |
-1,31 |
-0,55 |
11,26 |
1,44 |
9,17 |
36,07 |
31/mrt/2026 |
-0,82 |
-8,65 |
4,19 |
2,68 |
5,69 |
31/dec/2025 |
01/feb/2007 |
7.863.671,54 |
6,21 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0280468637 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,46 |
2,41 |
3,48 |
0,82 |
1,98 |
2,12 |
31/mrt/2026 |
2,41 |
3,69 |
4,36 |
-3,15 |
-2,96 |
31/mrt/2026 |
-1,46 |
-0,96 |
10,82 |
4,16 |
21,67 |
49,56 |
31/mrt/2026 |
-0,07 |
-6,82 |
4,99 |
2,53 |
5,22 |
31/dec/2025 |
01/feb/2007 |
6.866.013,78 |
13,73 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0278466700 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,80 |
5,31 |
5,69 |
2,23 |
2,98 |
2,95 |
31/mrt/2026 |
5,31 |
5,61 |
6,16 |
-2,57 |
-2,94 |
31/mrt/2026 |
-0,80 |
0,52 |
18,06 |
11,64 |
34,13 |
74,50 |
31/mrt/2026 |
0,00 |
-6,51 |
6,63 |
4,42 |
7,91 |
31/dec/2025 |
31/jan/2007 |
752.113.726,24 |
17,62 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0278469472 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,94 |
4,77 |
5,17 |
1,72 |
2,46 |
2,42 |
31/mrt/2026 |
4,77 |
5,08 |
5,67 |
-3,07 |
-3,44 |
31/mrt/2026 |
-0,94 |
0,25 |
16,34 |
8,88 |
27,50 |
58,10 |
31/mrt/2026 |
-0,55 |
-6,97 |
6,08 |
3,92 |
7,40 |
31/dec/2025 |
01/feb/2007 |
75.330.743,70 |
15,96 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0278453476 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,31 |
2,94 |
3,61 |
0,29 |
0,87 |
1,62 |
31/mrt/2026 |
2,94 |
3,76 |
4,13 |
-5,12 |
-3,86 |
31/mrt/2026 |
-1,31 |
-0,57 |
11,22 |
1,45 |
9,03 |
35,96 |
31/mrt/2026 |
-0,96 |
-8,54 |
4,14 |
2,75 |
5,55 |
31/dec/2025 |
01/feb/2007 |
67.324.186,94 |
10,60 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0480534915 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,85 |
5,64 |
6,29 |
3,43 |
3,34 |
4,36 |
31/mrt/2026 |
5,64 |
6,28 |
6,96 |
1,04 |
-2,45 |
31/mrt/2026 |
-0,85 |
0,51 |
20,10 |
18,38 |
38,84 |
98,40 |
31/mrt/2026 |
-0,12 |
-3,10 |
7,86 |
4,90 |
8,63 |
31/dec/2025 |
05/mrt/2010 |
60.471.124,23 |
20,04 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0737136415 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,70 |
5,83 |
6,21 |
2,73 |
3,49 |
3,41 |
31/mrt/2026 |
5,83 |
6,12 |
6,70 |
-2,07 |
-2,50 |
31/mrt/2026 |
-0,70 |
0,72 |
19,82 |
14,40 |
40,94 |
59,81 |
31/mrt/2026 |
0,48 |
-6,05 |
7,12 |
5,04 |
8,42 |
31/dec/2025 |
30/mrt/2012 |
116.332.682,57 |
10,89 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0118259232 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,16 |
1,21 |
2,45 |
-2,27 |
-0,28 |
2,78 |
31/mrt/2026 |
1,21 |
1,44 |
4,75 |
-10,41 |
-7,44 |
31/mrt/2026 |
-1,16 |
-0,83 |
7,54 |
-10,83 |
-2,74 |
101,03 |
31/mrt/2026 |
-3,85 |
-17,30 |
7,32 |
1,94 |
1,47 |
31/dec/2025 |
02/okt/2000 |
3.174.865,85 |
17,53 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0297941469 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,11 |
1,56 |
2,81 |
-1,93 |
0,07 |
2,95 |
31/mrt/2026 |
1,56 |
1,83 |
5,07 |
-10,08 |
-7,14 |
31/mrt/2026 |
-1,11 |
-0,68 |
8,66 |
-9,27 |
0,69 |
72,81 |
31/mrt/2026 |
-3,51 |
-17,00 |
7,71 |
2,28 |
1,85 |
31/dec/2025 |
08/jun/2007 |
260.201.831,27 |
29,50 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0090830810 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,32 |
0,67 |
1,94 |
-2,76 |
-0,78 |
2,23 |
31/mrt/2026 |
0,67 |
0,93 |
4,24 |
-10,87 |
-7,91 |
31/mrt/2026 |
-1,32 |
-1,11 |
5,92 |
-13,06 |
-7,56 |
83,56 |
31/mrt/2026 |
-4,36 |
-17,67 |
6,75 |
1,43 |
0,96 |
31/dec/2025 |
01/sep/1998 |
100.964.623,77 |
24,08 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0500207468 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,32 |
0,69 |
1,94 |
-2,76 |
-0,78 |
1,28 |
31/mrt/2026 |
0,69 |
0,95 |
4,21 |
-10,89 |
-7,89 |
31/mrt/2026 |
-1,32 |
-1,09 |
5,93 |
-13,05 |
-7,55 |
22,61 |
31/mrt/2026 |
-4,33 |
-17,71 |
6,80 |
1,40 |
0,99 |
31/dec/2025 |
12/apr/2010 |
20.747.109,58 |
22,32 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0430265933 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,21 |
1,16 |
2,44 |
-2,28 |
-0,28 |
1,79 |
31/mrt/2026 |
1,16 |
1,48 |
4,73 |
-10,42 |
-7,46 |
31/mrt/2026 |
-1,21 |
-0,88 |
7,51 |
-10,87 |
-2,80 |
32,06 |
31/mrt/2026 |
-3,86 |
-17,29 |
7,30 |
1,94 |
1,50 |
31/dec/2025 |
26/jul/2010 |
33.463.554,67 |
23,83 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0050372472 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,19 |
1,18 |
2,45 |
-2,27 |
-0,28 |
3,70 |
31/mrt/2026 |
1,18 |
1,46 |
4,74 |
-10,42 |
-7,44 |
31/mrt/2026 |
-1,19 |
-0,87 |
7,52 |
-10,84 |
-2,76 |
220,04 |
31/mrt/2026 |
-3,88 |
-17,25 |
7,31 |
1,94 |
1,46 |
31/dec/2025 |
31/mrt/1994 |
408.242.679,88 |
27,59 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0172396516 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,22 |
1,15 |
2,45 |
-2,27 |
-0,28 |
2,47 |
31/mrt/2026 |
1,15 |
1,50 |
4,74 |
-10,42 |
-7,45 |
31/mrt/2026 |
-1,22 |
-0,89 |
7,53 |
-10,84 |
-2,75 |
73,47 |
31/mrt/2026 |
-3,86 |
-17,26 |
7,31 |
1,89 |
1,52 |
31/dec/2025 |
01/sep/2003 |
2.484.879,66 |
17,52 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0277197595 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
0,26 |
-0,58 |
5,29 |
3,27 |
4,49 |
5,09 |
31/mrt/2026 |
-0,58 |
5,33 |
11,47 |
-3,53 |
4,34 |
31/mrt/2026 |
0,26 |
1,83 |
16,72 |
17,48 |
55,14 |
161,08 |
31/mrt/2026 |
12,21 |
-7,07 |
8,01 |
13,98 |
-4,53 |
31/dec/2025 |
01/dec/2006 |
7.800.457,22 |
34,59 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0738912566 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,20 |
6,64 |
7,87 |
3,43 |
5,13 |
4,75 |
31/mrt/2026 |
6,64 |
5,89 |
11,16 |
-4,67 |
-1,10 |
31/mrt/2026 |
-1,20 |
0,56 |
25,52 |
18,35 |
64,92 |
92,90 |
31/mrt/2026 |
4,23 |
-12,04 |
12,51 |
7,48 |
8,35 |
31/dec/2025 |
01/feb/2012 |
330.404.962,76 |
4,32 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0532707519 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,61 |
4,92 |
6,47 |
2,08 |
3,60 |
4,24 |
31/mrt/2026 |
4,92 |
4,91 |
9,66 |
-7,08 |
-1,18 |
31/mrt/2026 |
-1,61 |
-0,31 |
20,71 |
10,83 |
42,40 |
91,25 |
31/mrt/2026 |
4,09 |
-13,74 |
10,58 |
6,39 |
6,83 |
31/dec/2025 |
18/aug/2010 |
15.588.636,96 |
268,68 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0552552704 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,14 |
7,32 |
8,59 |
4,15 |
5,85 |
5,45 |
31/mrt/2026 |
7,32 |
6,67 |
11,87 |
-4,10 |
-0,22 |
31/mrt/2026 |
-1,14 |
0,71 |
28,06 |
22,54 |
76,56 |
126,18 |
31/mrt/2026 |
4,98 |
-11,35 |
13,21 |
8,12 |
9,20 |
31/dec/2025 |
10/nov/2010 |
335.385.736,21 |
50,42 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0578937376 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,91 |
3,66 |
5,57 |
1,93 |
4,02 |
3,83 |
31/mrt/2026 |
3,66 |
3,99 |
9,16 |
-5,58 |
-0,97 |
31/mrt/2026 |
-1,91 |
-1,03 |
17,67 |
10,03 |
48,32 |
76,15 |
31/mrt/2026 |
4,25 |
-12,51 |
10,63 |
5,43 |
5,66 |
31/dec/2025 |
09/mrt/2011 |
9.134.826,26 |
8,58 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0578942376 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,35 |
5,83 |
6,78 |
2,36 |
4,35 |
4,94 |
31/mrt/2026 |
5,83 |
5,08 |
9,50 |
-6,45 |
-1,34 |
31/mrt/2026 |
-1,35 |
0,28 |
21,77 |
12,38 |
53,11 |
106,94 |
31/mrt/2026 |
4,01 |
-13,22 |
10,46 |
6,33 |
7,68 |
31/dec/2025 |
04/mrt/2011 |
9.573.149,14 |
10,11 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0578945809 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,94 |
3,63 |
5,58 |
1,93 |
4,02 |
3,86 |
31/mrt/2026 |
3,63 |
4,02 |
9,18 |
-5,65 |
-0,93 |
31/mrt/2026 |
-1,94 |
-1,06 |
17,69 |
10,01 |
48,24 |
77,00 |
31/mrt/2026 |
4,23 |
-12,49 |
10,58 |
5,49 |
5,62 |
31/dec/2025 |
09/mrt/2011 |
995.218,34 |
18,00 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU0578947334 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
5,85 |
6,77 |
2,37 |
4,35 |
4,98 |
31/mrt/2026 |
5,85 |
5,08 |
9,42 |
-6,46 |
-1,24 |
31/mrt/2026 |
-1,33 |
0,24 |
21,71 |
12,43 |
53,05 |
108,00 |
31/mrt/2026 |
3,95 |
-13,22 |
10,50 |
6,30 |
7,66 |
31/dec/2025 |
04/mrt/2011 |
3.256.802,35 |
21,22 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0592701923 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,55 |
4,43 |
3,58 |
-0,04 |
1,69 |
2,40 |
31/mrt/2026 |
4,43 |
4,45 |
1,89 |
-5,69 |
-4,78 |
31/mrt/2026 |
-0,55 |
0,54 |
11,14 |
-0,19 |
18,26 |
41,91 |
31/mrt/2026 |
-1,52 |
-14,23 |
5,37 |
1,57 |
7,53 |
31/dec/2025 |
04/jul/2011 |
59.102.125,69 |
14,99 |
- |
530,12 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0592702061 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,11 |
7,39 |
8,62 |
4,16 |
5,86 |
5,27 |
31/mrt/2026 |
7,39 |
6,64 |
11,90 |
-4,12 |
-0,22 |
31/mrt/2026 |
-1,11 |
0,72 |
28,15 |
22,59 |
76,66 |
115,44 |
31/mrt/2026 |
4,95 |
-11,41 |
13,25 |
8,12 |
9,22 |
31/dec/2025 |
19/apr/2011 |
80.912.281,72 |
9,59 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0681219902 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,12 |
6,96 |
8,19 |
3,52 |
4,72 |
5,14 |
31/mrt/2026 |
6,96 |
6,48 |
11,18 |
-5,71 |
-0,44 |
31/mrt/2026 |
-1,12 |
0,73 |
26,63 |
18,87 |
58,60 |
106,51 |
31/mrt/2026 |
4,71 |
-12,65 |
12,28 |
7,83 |
8,85 |
31/dec/2025 |
13/okt/2011 |
1.793.773,12 |
9,89 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0706698544 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,32 |
6,24 |
7,45 |
2,79 |
4,01 |
4,48 |
31/mrt/2026 |
6,24 |
5,76 |
10,40 |
-6,43 |
-1,12 |
31/mrt/2026 |
-1,32 |
0,41 |
24,04 |
14,77 |
48,23 |
87,86 |
31/mrt/2026 |
4,09 |
-13,27 |
11,48 |
6,99 |
8,22 |
31/dec/2025 |
14/nov/2011 |
574.229,58 |
9,90 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0172419151 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,35 |
6,59 |
7,82 |
3,42 |
5,12 |
5,06 |
31/mrt/2026 |
6,59 |
5,90 |
11,04 |
-4,70 |
-0,95 |
31/mrt/2026 |
-1,35 |
0,34 |
25,33 |
18,31 |
64,78 |
202,73 |
31/mrt/2026 |
4,23 |
-12,07 |
12,50 |
7,44 |
8,35 |
31/dec/2025 |
24/okt/2003 |
71.651.526,42 |
5,60 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0764619531 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,66 |
4,58 |
6,41 |
2,33 |
4,26 |
3,88 |
31/mrt/2026 |
4,58 |
4,83 |
9,90 |
-5,85 |
-1,10 |
31/mrt/2026 |
-1,66 |
-0,22 |
20,48 |
12,19 |
51,71 |
70,30 |
31/mrt/2026 |
4,10 |
-12,68 |
11,06 |
6,12 |
6,65 |
31/dec/2025 |
02/apr/2012 |
112.120.199,20 |
30,54 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0496654236 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,87 |
3,87 |
4,76 |
-1,72 |
0,93 |
2,58 |
31/mrt/2026 |
3,87 |
5,68 |
4,72 |
-7,51 |
-13,76 |
31/mrt/2026 |
-0,87 |
-0,17 |
14,96 |
-8,31 |
9,75 |
49,61 |
31/mrt/2026 |
-7,58 |
-16,76 |
4,49 |
5,15 |
7,58 |
31/dec/2025 |
28/mei/2010 |
153.012.055,87 |
8,37 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0172393414 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,41 |
5,99 |
6,18 |
-0,64 |
1,79 |
4,00 |
31/mrt/2026 |
5,99 |
6,76 |
5,80 |
-6,34 |
-13,64 |
31/mrt/2026 |
-0,41 |
0,47 |
19,72 |
-3,17 |
19,43 |
141,17 |
31/mrt/2026 |
-7,42 |
-16,11 |
5,79 |
6,47 |
9,30 |
31/dec/2025 |
24/okt/2003 |
72.755.294,05 |
10,29 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0093503810 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,04 |
1,44 |
2,85 |
0,51 |
0,24 |
1,81 |
31/mrt/2026 |
1,44 |
3,83 |
3,28 |
-2,74 |
-3,03 |
31/mrt/2026 |
-1,04 |
-0,49 |
8,78 |
2,59 |
2,40 |
62,79 |
31/mrt/2026 |
-1,45 |
-5,56 |
4,20 |
3,18 |
3,27 |
31/dec/2025 |
04/jan/1999 |
449.788.742,16 |
16,32 |
- |
1.992,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0329592371 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
1,76 |
3,20 |
0,87 |
0,59 |
1,99 |
31/mrt/2026 |
1,76 |
4,17 |
3,68 |
-2,36 |
-2,72 |
31/mrt/2026 |
-0,97 |
-0,35 |
9,91 |
4,41 |
6,07 |
43,69 |
31/mrt/2026 |
-1,14 |
-5,23 |
4,62 |
3,50 |
3,62 |
31/dec/2025 |
12/nov/2007 |
285.399.839,77 |
17,40 |
- |
1.992,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0448386994 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,02 |
1,43 |
2,84 |
0,52 |
0,24 |
0,92 |
31/mrt/2026 |
1,43 |
3,81 |
3,30 |
-2,71 |
-3,03 |
31/mrt/2026 |
-1,02 |
-0,48 |
8,77 |
2,62 |
2,45 |
15,82 |
31/mrt/2026 |
-1,48 |
-5,59 |
4,27 |
3,17 |
3,26 |
31/dec/2025 |
15/apr/2010 |
14.397.478,34 |
14,58 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0448387455 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,68 |
3,39 |
4,44 |
1,88 |
1,33 |
1,75 |
31/mrt/2026 |
3,39 |
5,34 |
4,59 |
-1,28 |
-2,41 |
31/mrt/2026 |
-0,68 |
0,43 |
13,91 |
9,74 |
14,09 |
32,95 |
31/mrt/2026 |
-0,98 |
-4,32 |
5,68 |
4,44 |
5,37 |
31/dec/2025 |
26/okt/2009 |
6.220.469,18 |
11,78 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0456865749 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,63 |
3,60 |
4,71 |
2,26 |
2,12 |
2,15 |
31/mrt/2026 |
3,60 |
5,50 |
5,04 |
-0,32 |
-2,30 |
31/mrt/2026 |
-0,63 |
0,50 |
14,81 |
11,81 |
23,34 |
41,10 |
31/mrt/2026 |
-0,71 |
-3,75 |
6,37 |
4,75 |
5,50 |
31/dec/2025 |
21/jan/2010 |
43.804.877,65 |
14,21 |
- |
1.992,57 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0448387703 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,63 |
3,65 |
4,71 |
2,26 |
2,12 |
2,13 |
31/mrt/2026 |
3,65 |
5,45 |
5,05 |
-0,35 |
-2,28 |
31/mrt/2026 |
-0,63 |
0,48 |
14,82 |
11,82 |
23,34 |
39,96 |
31/mrt/2026 |
-0,76 |
-3,65 |
6,37 |
4,69 |
5,50 |
31/dec/2025 |
15/apr/2010 |
320.189,87 |
12,69 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU0521028638 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,67 |
-0,89 |
0,37 |
-1,16 |
-0,83 |
0,01 |
31/mrt/2026 |
-0,89 |
1,10 |
0,91 |
-3,51 |
-3,30 |
31/mrt/2026 |
-1,67 |
-1,67 |
1,11 |
-5,65 |
-7,99 |
0,20 |
31/mrt/2026 |
-1,78 |
-6,01 |
2,03 |
0,50 |
0,89 |
31/dec/2025 |
28/jul/2010 |
4.602.573,64 |
10,06 |
- |
1.992,57 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0555993434 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,58 |
3,72 |
4,80 |
2,23 |
1,69 |
2,09 |
31/mrt/2026 |
3,72 |
5,72 |
4,97 |
-0,87 |
-2,11 |
31/mrt/2026 |
-0,58 |
0,59 |
15,10 |
11,68 |
18,19 |
37,58 |
31/mrt/2026 |
-0,62 |
-3,95 |
5,95 |
4,93 |
5,67 |
31/dec/2025 |
08/nov/2010 |
1.003.044,28 |
12,04 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0118255248 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,13 |
1,36 |
2,82 |
0,51 |
0,24 |
1,80 |
31/mrt/2026 |
1,36 |
3,84 |
3,27 |
-2,68 |
-3,04 |
31/mrt/2026 |
-1,13 |
-0,51 |
8,70 |
2,57 |
2,39 |
57,67 |
31/mrt/2026 |
-1,48 |
-5,56 |
4,24 |
3,20 |
3,29 |
31/dec/2025 |
02/okt/2000 |
5.743.547,10 |
11,76 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0093504115 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,18 |
0,92 |
2,32 |
0,01 |
-0,26 |
1,31 |
31/mrt/2026 |
0,92 |
3,29 |
2,78 |
-3,20 |
-3,51 |
31/mrt/2026 |
-1,18 |
-0,76 |
7,13 |
0,07 |
-2,59 |
42,70 |
31/mrt/2026 |
-1,95 |
-6,05 |
3,71 |
2,63 |
2,78 |
31/dec/2025 |
04/jan/1999 |
192.642.005,17 |
14,34 |
- |
1.992,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0172403825 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,04 |
1,45 |
2,85 |
0,51 |
0,23 |
1,76 |
31/mrt/2026 |
1,45 |
3,83 |
3,27 |
-2,77 |
-3,04 |
31/mrt/2026 |
-1,04 |
-0,50 |
8,78 |
2,56 |
2,37 |
38,53 |
31/mrt/2026 |
-1,47 |
-5,63 |
4,23 |
3,20 |
3,29 |
31/dec/2025 |
24/jul/2007 |
1.564.380,00 |
11,77 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0719319435 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
1,61 |
9,23 |
3,99 |
0,49 |
3,49 |
3,62 |
31/mrt/2026 |
9,23 |
5,09 |
-2,05 |
-7,64 |
-1,31 |
31/mrt/2026 |
1,61 |
3,52 |
12,44 |
2,49 |
40,96 |
64,50 |
31/mrt/2026 |
0,49 |
-11,68 |
-0,70 |
3,78 |
9,32 |
31/dec/2025 |
28/mrt/2012 |
104.402.878,12 |
16,82 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0764816798 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
3,44 |
1,51 |
1,17 |
0,00 |
2,49 |
3,80 |
31/mrt/2026 |
1,51 |
4,07 |
-1,97 |
-6,81 |
3,62 |
31/mrt/2026 |
3,44 |
4,98 |
3,56 |
0,00 |
27,92 |
68,60 |
31/mrt/2026 |
7,79 |
-7,05 |
-4,96 |
9,79 |
-4,40 |
31/dec/2025 |
28/mrt/2012 |
219.313.770,19 |
17,00 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171298218 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-10,17 |
5,59 |
14,92 |
6,23 |
12,26 |
8,13 |
31/mrt/2026 |
5,59 |
-1,50 |
45,92 |
-17,38 |
7,90 |
31/mrt/2026 |
-10,17 |
-10,83 |
51,76 |
35,29 |
217,87 |
496,91 |
31/mrt/2026 |
26,60 |
-37,26 |
46,71 |
38,16 |
-3,27 |
31/dec/2025 |
19/mei/2003 |
42.562.661,87 |
42,19 |
- |
423,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0200680600 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,42 |
10,45 |
11,52 |
3,37 |
3,78 |
5,41 |
31/mrt/2026 |
10,45 |
7,01 |
17,35 |
-9,91 |
-5,56 |
31/mrt/2026 |
-1,42 |
2,32 |
38,69 |
18,00 |
44,91 |
210,42 |
31/mrt/2026 |
-2,97 |
-16,78 |
15,26 |
8,08 |
14,46 |
31/dec/2025 |
01/okt/2004 |
78.844.607,85 |
23,73 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0184696937 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,01 |
2,63 |
3,59 |
-0,35 |
1,39 |
5,70 |
31/mrt/2026 |
2,63 |
3,81 |
4,33 |
-6,03 |
-5,92 |
31/mrt/2026 |
-1,01 |
-0,40 |
11,16 |
-1,72 |
14,79 |
846,28 |
31/mrt/2026 |
-1,69 |
-13,72 |
6,78 |
2,80 |
4,54 |
31/dec/2025 |
04/sep/1985 |
37.240.528,56 |
84,32 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0012053665 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,00 |
2,63 |
3,59 |
-0,35 |
1,39 |
2,55 |
31/mrt/2026 |
2,63 |
3,83 |
4,32 |
-6,02 |
-5,93 |
31/mrt/2026 |
-1,00 |
-0,41 |
11,16 |
-1,72 |
14,79 |
73,89 |
31/mrt/2026 |
-1,69 |
-13,71 |
6,78 |
2,79 |
4,55 |
31/dec/2025 |
02/apr/2004 |
418.237,65 |
53,22 |
- |
940,52 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0184696853 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,01 |
2,64 |
3,59 |
-0,35 |
1,39 |
2,52 |
31/mrt/2026 |
2,64 |
3,81 |
4,32 |
-6,02 |
-5,92 |
31/mrt/2026 |
-1,01 |
-0,40 |
11,15 |
-1,72 |
14,83 |
72,76 |
31/mrt/2026 |
-1,69 |
-13,71 |
6,79 |
2,79 |
4,54 |
31/dec/2025 |
02/apr/2004 |
5.536.014,74 |
53,09 |
- |
940,52 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0297941972 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,91 |
3,05 |
4,00 |
0,05 |
1,79 |
3,08 |
31/mrt/2026 |
3,05 |
4,23 |
4,74 |
-5,64 |
-5,54 |
31/mrt/2026 |
-0,91 |
-0,20 |
12,50 |
0,27 |
19,46 |
77,08 |
31/mrt/2026 |
-1,29 |
-13,38 |
7,23 |
3,20 |
4,95 |
31/dec/2025 |
08/jun/2007 |
106.421.607,67 |
90,96 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0330917880 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,49 |
0,33 |
1,53 |
-2,27 |
-0,70 |
1,47 |
31/mrt/2026 |
0,33 |
2,03 |
2,23 |
-8,60 |
-6,81 |
31/mrt/2026 |
-1,49 |
-1,42 |
4,65 |
-10,86 |
-6,80 |
30,70 |
31/mrt/2026 |
-2,52 |
-15,75 |
4,31 |
1,08 |
2,26 |
31/dec/2025 |
14/dec/2007 |
4.087.216,54 |
177,43 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0184697075 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,13 |
2,12 |
3,07 |
-0,84 |
0,88 |
5,07 |
31/mrt/2026 |
2,12 |
3,30 |
3,80 |
-6,49 |
-6,38 |
31/mrt/2026 |
-1,13 |
-0,65 |
9,49 |
-4,15 |
9,19 |
637,80 |
31/mrt/2026 |
-2,17 |
-14,15 |
6,24 |
2,28 |
4,02 |
31/dec/2025 |
31/okt/1985 |
3.928.082,42 |
75,57 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0769137737 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-6,75 |
11,84 |
8,12 |
3,81 |
8,93 |
9,28 |
31/mrt/2026 |
11,84 |
-4,21 |
17,99 |
-3,09 |
-1,56 |
31/mrt/2026 |
-6,75 |
-3,76 |
26,40 |
20,58 |
135,25 |
245,84 |
31/mrt/2026 |
16,34 |
-28,73 |
23,30 |
0,95 |
24,90 |
31/dec/2025 |
05/apr/2012 |
143.076.524,48 |
57,09 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0376446257 |
BGF Swiss Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-8,32 |
-2,19 |
-1,89 |
-2,16 |
6,57 |
8,12 |
31/mrt/2026 |
-2,19 |
-4,09 |
0,67 |
-11,19 |
6,90 |
31/mrt/2026 |
-8,32 |
-6,60 |
-5,56 |
-10,34 |
88,99 |
297,07 |
31/mrt/2026 |
32,80 |
-30,56 |
3,29 |
3,37 |
5,43 |
31/dec/2025 |
01/aug/2008 |
141.378.317,49 |
600,36 |
- |
338,13 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0376447149 |
BGF Swiss Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-8,15 |
-1,46 |
-1,15 |
-1,42 |
7,37 |
8,93 |
31/mrt/2026 |
-1,46 |
-3,36 |
1,42 |
-10,52 |
7,70 |
31/mrt/2026 |
-8,15 |
-6,25 |
-3,41 |
-6,92 |
103,70 |
353,21 |
31/mrt/2026 |
33,79 |
-30,03 |
4,07 |
4,15 |
6,22 |
31/dec/2025 |
01/aug/2008 |
117.146.252,87 |
685,67 |
- |
338,13 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171293177 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-2,87 |
-0,11 |
8,57 |
2,96 |
5,05 |
4,23 |
31/mrt/2026 |
-0,11 |
8,87 |
17,69 |
-10,63 |
1,14 |
31/mrt/2026 |
-2,87 |
-1,41 |
27,99 |
15,69 |
63,61 |
175,48 |
31/mrt/2026 |
22,28 |
-25,90 |
18,38 |
15,52 |
2,52 |
31/dec/2025 |
12/okt/2001 |
6.743.515,02 |
175,44 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0006061336 |
BGF US Mid-Cap Value Fund |
BlackRock (Luxembourg) S.A. |
-3,78 |
9,85 |
8,47 |
5,53 |
8,48 |
9,99 |
31/mrt/2026 |
9,85 |
-0,71 |
17,01 |
-8,76 |
12,43 |
31/mrt/2026 |
-3,78 |
-1,54 |
27,61 |
30,91 |
125,73 |
3.959,51 |
31/mrt/2026 |
25,77 |
-5,68 |
11,63 |
7,14 |
12,22 |
31/dec/2025 |
13/mei/1987 |
134.088.725,62 |
427,33 |
- |
339,23 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204064025 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-3,27 |
3,91 |
8,17 |
3,39 |
6,01 |
7,93 |
31/mrt/2026 |
3,91 |
6,49 |
14,38 |
-6,94 |
0,31 |
31/mrt/2026 |
-3,27 |
-1,74 |
26,57 |
18,15 |
79,27 |
2.058,33 |
31/mrt/2026 |
14,28 |
-21,86 |
16,29 |
10,06 |
8,08 |
31/dec/2025 |
31/dec/1985 |
19.918.554,27 |
122,00 |
- |
142,26 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0329592967 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-3,09 |
4,70 |
8,99 |
4,17 |
6,81 |
5,96 |
31/mrt/2026 |
4,70 |
7,30 |
15,24 |
-6,23 |
1,06 |
31/mrt/2026 |
-3,09 |
-1,38 |
29,45 |
22,67 |
93,22 |
189,81 |
31/mrt/2026 |
15,13 |
-21,26 |
17,16 |
10,89 |
8,90 |
31/dec/2025 |
12/nov/2007 |
7.911.843,02 |
174,23 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0341384864 |
BGF US Mid-Cap Value Fund |
BlackRock (Luxembourg) S.A. |
-3,60 |
10,67 |
9,28 |
6,33 |
9,30 |
8,33 |
31/mrt/2026 |
10,67 |
0,04 |
17,89 |
-8,07 |
13,27 |
31/mrt/2026 |
-3,60 |
-1,17 |
30,52 |
35,90 |
143,28 |
327,95 |
31/mrt/2026 |
26,72 |
-4,97 |
12,47 |
7,95 |
13,07 |
31/dec/2025 |
31/jan/2008 |
34.136.698,22 |
490,25 |
- |
339,23 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0679964535 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-2,69 |
0,65 |
9,39 |
3,73 |
5,84 |
7,57 |
31/mrt/2026 |
0,65 |
9,70 |
18,57 |
-9,95 |
1,90 |
31/mrt/2026 |
-2,69 |
-1,04 |
30,91 |
20,12 |
76,39 |
188,54 |
31/mrt/2026 |
23,20 |
-25,34 |
19,28 |
16,39 |
3,29 |
31/dec/2025 |
20/sep/2011 |
1.457.157,63 |
201,45 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0011847091 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-3,27 |
3,92 |
8,18 |
3,39 |
6,01 |
7,94 |
31/mrt/2026 |
3,92 |
6,50 |
14,38 |
-6,94 |
0,30 |
31/mrt/2026 |
-3,27 |
-1,74 |
26,59 |
18,16 |
79,25 |
2.064,87 |
31/mrt/2026 |
14,27 |
-21,86 |
16,29 |
10,06 |
8,09 |
31/dec/2025 |
31/dec/1985 |
62.098.536,27 |
151,74 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171293334 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-4,51 |
6,56 |
10,65 |
2,59 |
5,16 |
4,90 |
31/mrt/2026 |
6,56 |
8,97 |
16,67 |
-12,21 |
-4,45 |
31/mrt/2026 |
-4,51 |
-3,09 |
35,48 |
13,65 |
65,43 |
274,44 |
31/mrt/2026 |
13,05 |
-30,17 |
22,61 |
8,28 |
15,88 |
31/dec/2025 |
01/sep/1998 |
13.453.140,17 |
205,12 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090841858 |
BGF US Mid-Cap Value Fund |
BlackRock (Luxembourg) S.A. |
-3,90 |
9,30 |
7,92 |
5,01 |
7,94 |
8,45 |
31/mrt/2026 |
9,30 |
-1,21 |
16,43 |
-9,22 |
11,86 |
31/mrt/2026 |
-3,90 |
-1,79 |
25,71 |
27,66 |
114,70 |
836,77 |
31/mrt/2026 |
25,15 |
-6,15 |
11,08 |
6,60 |
11,66 |
31/dec/2025 |
01/sep/1998 |
17.833.229,96 |
373,27 |
- |
339,23 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0090845172 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-3,39 |
3,40 |
7,64 |
2,88 |
5,48 |
5,28 |
31/mrt/2026 |
3,40 |
5,96 |
13,83 |
-7,41 |
-0,20 |
31/mrt/2026 |
-3,39 |
-1,99 |
24,71 |
15,24 |
70,50 |
313,46 |
31/mrt/2026 |
13,70 |
-22,25 |
15,71 |
9,51 |
7,54 |
31/dec/2025 |
01/sep/1998 |
14.861.500,08 |
132,56 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171298648 |
BGF US Mid-Cap Value Fund |
BlackRock (Luxembourg) S.A. |
-2,13 |
2,97 |
6,43 |
5,91 |
8,36 |
5,64 |
31/mrt/2026 |
2,97 |
-0,80 |
18,03 |
-7,12 |
19,00 |
31/mrt/2026 |
-2,13 |
0,16 |
20,56 |
33,25 |
123,25 |
288,98 |
31/mrt/2026 |
36,04 |
0,08 |
7,80 |
14,31 |
-0,71 |
31/dec/2025 |
01/jul/2002 |
41.977.891,04 |
365,52 |
- |
339,23 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171293250 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-3,00 |
-0,60 |
8,03 |
2,44 |
4,52 |
3,71 |
31/mrt/2026 |
-0,60 |
8,32 |
17,11 |
-11,08 |
0,63 |
31/mrt/2026 |
-3,00 |
-1,66 |
26,09 |
12,83 |
55,63 |
143,54 |
31/mrt/2026 |
21,67 |
-26,28 |
17,81 |
14,93 |
2,01 |
31/dec/2025 |
12/okt/2001 |
5.316.289,83 |
153,27 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0096258362 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,60 |
4,01 |
3,17 |
-0,43 |
1,28 |
4,06 |
31/mrt/2026 |
4,01 |
4,04 |
1,47 |
-6,06 |
-5,14 |
31/mrt/2026 |
-0,60 |
0,34 |
9,80 |
-2,15 |
13,57 |
336,13 |
31/mrt/2026 |
-1,94 |
-14,59 |
5,00 |
1,14 |
7,07 |
31/dec/2025 |
07/apr/1989 |
67.094.080,89 |
35,15 |
- |
530,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171293920 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,58 |
6,36 |
9,63 |
7,25 |
7,91 |
6,07 |
31/mrt/2026 |
6,36 |
2,69 |
20,64 |
-6,57 |
15,25 |
31/mrt/2026 |
-1,58 |
3,98 |
31,77 |
41,88 |
114,12 |
297,71 |
31/mrt/2026 |
29,46 |
0,14 |
7,31 |
14,73 |
6,62 |
31/dec/2025 |
31/okt/2002 |
27.449.241,28 |
139,04 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0072461881 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,23 |
13,47 |
11,73 |
6,87 |
8,03 |
6,70 |
31/mrt/2026 |
13,47 |
2,78 |
19,60 |
-8,23 |
8,90 |
31/mrt/2026 |
-3,23 |
2,22 |
39,49 |
39,40 |
116,51 |
565,10 |
31/mrt/2026 |
19,70 |
-5,62 |
11,13 |
7,54 |
20,51 |
31/dec/2025 |
08/jan/1997 |
418.441.164,67 |
162,55 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204064967 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,97 |
10,65 |
9,23 |
7,70 |
8,90 |
7,93 |
31/mrt/2026 |
10,65 |
0,45 |
17,25 |
-2,73 |
14,31 |
31/mrt/2026 |
-1,97 |
3,63 |
30,31 |
44,90 |
134,57 |
404,41 |
31/mrt/2026 |
20,97 |
5,61 |
5,41 |
9,30 |
12,39 |
31/dec/2025 |
19/jan/2005 |
368.905,07 |
117,28 |
- |
930,31 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0330917963 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,78 |
4,18 |
5,72 |
1,36 |
2,89 |
3,76 |
31/mrt/2026 |
4,18 |
4,17 |
8,89 |
-7,74 |
-1,87 |
31/mrt/2026 |
-1,78 |
-0,66 |
18,17 |
6,99 |
32,99 |
96,58 |
31/mrt/2026 |
3,36 |
-14,34 |
9,81 |
5,63 |
6,06 |
31/dec/2025 |
14/dec/2007 |
9.825.583,74 |
242,60 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0548367084 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,51 |
4,44 |
3,59 |
-0,03 |
1,69 |
2,35 |
31/mrt/2026 |
4,44 |
4,47 |
1,87 |
-5,67 |
-4,76 |
31/mrt/2026 |
-0,51 |
0,54 |
11,15 |
-0,13 |
18,30 |
43,23 |
31/mrt/2026 |
-1,53 |
-14,24 |
5,42 |
1,57 |
7,50 |
31/dec/2025 |
14/okt/2010 |
172.640.884,94 |
37,48 |
- |
530,12 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU0679940949 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,17 |
3,33 |
3,77 |
1,16 |
3,80 |
3,96 |
31/mrt/2026 |
3,33 |
4,79 |
3,19 |
-0,43 |
-4,77 |
31/mrt/2026 |
0,17 |
0,03 |
11,73 |
5,95 |
45,25 |
74,86 |
31/mrt/2026 |
-2,03 |
-4,33 |
2,02 |
6,37 |
3,88 |
31/dec/2025 |
11/nov/2011 |
443.958.327,84 |
112,72 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0679941327 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
1,58 |
8,85 |
3,62 |
0,15 |
3,13 |
3,37 |
31/mrt/2026 |
8,85 |
4,74 |
-2,42 |
-7,94 |
-1,63 |
31/mrt/2026 |
1,58 |
3,33 |
11,25 |
0,75 |
36,03 |
61,20 |
31/mrt/2026 |
0,12 |
-11,93 |
-1,05 |
3,40 |
8,85 |
31/dec/2025 |
11/nov/2011 |
39.780.937,00 |
16,47 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0679941673 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
1,47 |
8,74 |
3,61 |
0,13 |
3,13 |
3,37 |
31/mrt/2026 |
8,74 |
4,74 |
-2,34 |
-7,97 |
-1,66 |
31/mrt/2026 |
1,47 |
3,32 |
11,23 |
0,67 |
36,05 |
61,10 |
31/mrt/2026 |
0,18 |
-12,03 |
-0,96 |
3,33 |
8,97 |
31/dec/2025 |
11/nov/2011 |
73.726.113,94 |
9,53 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
USD |
LU0046675905 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,38 |
6,61 |
7,84 |
3,40 |
5,12 |
5,62 |
31/mrt/2026 |
6,61 |
5,90 |
11,10 |
-4,82 |
-1,00 |
31/mrt/2026 |
-1,38 |
0,31 |
25,42 |
18,19 |
64,77 |
253,59 |
31/mrt/2026 |
4,24 |
-11,93 |
12,36 |
7,45 |
8,39 |
31/dec/2025 |
03/mrt/2003 |
40.965.829,75 |
5,55 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0046676465 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,30 |
6,58 |
7,85 |
3,42 |
5,13 |
4,73 |
31/mrt/2026 |
6,58 |
5,94 |
11,09 |
-4,76 |
-0,95 |
31/mrt/2026 |
-1,30 |
0,38 |
25,43 |
18,33 |
64,87 |
346,80 |
31/mrt/2026 |
4,27 |
-11,99 |
12,43 |
7,38 |
8,43 |
31/dec/2025 |
29/okt/1993 |
272.038.311,99 |
45,55 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0028835386 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,58 |
4,01 |
3,17 |
-0,44 |
1,28 |
2,51 |
31/mrt/2026 |
4,01 |
4,02 |
1,48 |
-6,09 |
-5,11 |
31/mrt/2026 |
-0,58 |
0,33 |
9,80 |
-2,16 |
13,58 |
77,33 |
31/mrt/2026 |
-1,98 |
-14,60 |
5,01 |
1,15 |
7,04 |
31/dec/2025 |
03/mrt/2003 |
5.750.665,74 |
14,99 |
- |
530,12 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0171296279 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,98 |
10,64 |
9,23 |
7,70 |
8,90 |
6,43 |
31/mrt/2026 |
10,64 |
0,45 |
17,26 |
-2,73 |
14,30 |
31/mrt/2026 |
-1,98 |
3,63 |
30,32 |
44,89 |
134,57 |
339,28 |
31/mrt/2026 |
20,97 |
5,61 |
5,40 |
9,32 |
12,39 |
31/dec/2025 |
29/jun/2002 |
3.206.474,26 |
120,25 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090845503 |
BGF US Dollar Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,73 |
3,50 |
4,20 |
2,89 |
1,79 |
1,49 |
31/mrt/2026 |
3,50 |
4,41 |
4,69 |
2,22 |
-0,32 |
31/mrt/2026 |
0,73 |
1,60 |
13,14 |
15,29 |
19,44 |
50,25 |
31/mrt/2026 |
-0,27 |
1,10 |
4,55 |
4,64 |
3,70 |
31/dec/2025 |
01/sep/1998 |
40.871.538,27 |
174,12 |
- |
581,35 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0172417379 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,58 |
4,00 |
3,16 |
-0,44 |
1,28 |
2,65 |
31/mrt/2026 |
4,00 |
4,01 |
1,48 |
-6,08 |
-5,11 |
31/mrt/2026 |
-0,58 |
0,33 |
9,78 |
-2,16 |
13,57 |
80,33 |
31/mrt/2026 |
-1,98 |
-14,58 |
5,01 |
1,15 |
7,02 |
31/dec/2025 |
01/sep/2003 |
15.231.375,80 |
15,00 |
- |
530,12 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0147419096 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,74 |
3,48 |
2,66 |
-0,94 |
0,78 |
2,20 |
31/mrt/2026 |
3,48 |
3,53 |
0,98 |
-6,56 |
-5,61 |
31/mrt/2026 |
-0,74 |
0,06 |
8,18 |
-4,59 |
8,03 |
67,57 |
31/mrt/2026 |
-2,41 |
-15,02 |
4,45 |
0,65 |
6,53 |
31/dec/2025 |
01/jul/2002 |
3.976.771,60 |
31,02 |
- |
530,12 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147389919 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,42 |
6,07 |
7,31 |
2,91 |
4,60 |
5,07 |
31/mrt/2026 |
6,07 |
5,41 |
10,53 |
-5,25 |
-1,43 |
31/mrt/2026 |
-1,42 |
0,13 |
23,58 |
15,42 |
56,84 |
223,92 |
31/mrt/2026 |
3,76 |
-12,43 |
11,89 |
6,84 |
7,88 |
31/dec/2025 |
01/jul/2002 |
10.527.098,41 |
40,44 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0154237225 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,06 |
3,96 |
4,38 |
1,71 |
1,88 |
1,89 |
31/mrt/2026 |
3,96 |
5,30 |
3,89 |
-0,37 |
-3,93 |
31/mrt/2026 |
-0,06 |
1,17 |
13,72 |
8,85 |
20,44 |
55,00 |
31/mrt/2026 |
-0,77 |
-4,96 |
4,92 |
4,47 |
5,44 |
31/dec/2025 |
31/okt/2002 |
419.370.173,36 |
15,57 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0200685153 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,83 |
10,81 |
9,37 |
4,45 |
5,64 |
4,51 |
31/mrt/2026 |
10,81 |
0,93 |
16,97 |
-11,56 |
7,46 |
31/mrt/2026 |
-3,83 |
1,00 |
30,82 |
24,33 |
73,08 |
158,03 |
31/mrt/2026 |
18,41 |
-8,67 |
8,11 |
5,71 |
17,87 |
31/dec/2025 |
01/okt/2004 |
13.619.322,43 |
90,72 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0275209954 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,05 |
14,32 |
12,57 |
7,67 |
8,84 |
6,44 |
31/mrt/2026 |
14,32 |
3,57 |
20,49 |
-7,53 |
9,71 |
31/mrt/2026 |
-3,05 |
2,60 |
42,66 |
44,71 |
133,37 |
234,75 |
31/mrt/2026 |
20,59 |
-4,90 |
11,97 |
8,35 |
21,42 |
31/dec/2025 |
17/nov/2006 |
21.705.621,30 |
188,62 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0155445546 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,04 |
3,92 |
4,37 |
1,70 |
1,87 |
1,88 |
31/mrt/2026 |
3,92 |
5,33 |
3,87 |
-0,43 |
-3,91 |
31/mrt/2026 |
-0,04 |
1,06 |
13,68 |
8,77 |
20,35 |
54,77 |
31/mrt/2026 |
-0,71 |
-4,97 |
4,92 |
4,43 |
5,44 |
31/dec/2025 |
31/okt/2002 |
14.416.675,91 |
8,16 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0602533316 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,95 |
9,87 |
9,18 |
5,06 |
6,64 |
6,61 |
31/mrt/2026 |
9,87 |
0,81 |
17,49 |
-9,46 |
8,65 |
31/mrt/2026 |
-3,95 |
0,70 |
30,13 |
28,02 |
90,21 |
160,40 |
31/mrt/2026 |
19,48 |
-6,50 |
8,99 |
5,61 |
17,00 |
31/dec/2025 |
19/apr/2011 |
542.986,77 |
28,06 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0154237738 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,22 |
3,32 |
3,86 |
1,18 |
1,36 |
1,35 |
31/mrt/2026 |
3,32 |
4,83 |
3,44 |
-0,97 |
-4,42 |
31/mrt/2026 |
-0,22 |
0,81 |
12,04 |
6,05 |
14,48 |
36,80 |
31/mrt/2026 |
-1,24 |
-5,49 |
4,40 |
3,98 |
4,90 |
31/dec/2025 |
31/okt/2002 |
29.294.019,00 |
13,74 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171298564 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
1,54 |
-3,02 |
1,93 |
1,55 |
1,25 |
0,71 |
31/mrt/2026 |
-3,02 |
4,62 |
4,37 |
0,81 |
1,18 |
31/mrt/2026 |
1,54 |
2,59 |
5,89 |
8,01 |
13,26 |
17,94 |
31/mrt/2026 |
6,85 |
0,27 |
0,89 |
10,83 |
-7,15 |
31/dec/2025 |
31/okt/2002 |
9.924.201,68 |
11,75 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0172420597 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
1,52 |
-2,70 |
2,42 |
2,05 |
1,76 |
1,32 |
31/mrt/2026 |
-2,70 |
5,30 |
4,86 |
1,33 |
1,68 |
31/mrt/2026 |
1,52 |
2,80 |
7,43 |
10,69 |
19,11 |
34,34 |
31/mrt/2026 |
7,36 |
0,75 |
1,25 |
11,47 |
-6,62 |
31/dec/2025 |
02/sep/2003 |
1.878.324,06 |
6,97 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0171295891 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,69 |
5,83 |
9,08 |
6,71 |
7,37 |
6,40 |
31/mrt/2026 |
5,83 |
2,17 |
20,04 |
-7,04 |
14,69 |
31/mrt/2026 |
-1,69 |
3,72 |
29,80 |
38,39 |
103,66 |
314,32 |
31/mrt/2026 |
28,82 |
-0,35 |
6,78 |
14,15 |
6,07 |
31/dec/2025 |
25/apr/2003 |
14.302.710,90 |
123,21 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147417710 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,35 |
12,90 |
11,17 |
6,33 |
7,49 |
5,92 |
31/mrt/2026 |
12,90 |
2,27 |
19,01 |
-8,69 |
8,34 |
31/mrt/2026 |
-3,35 |
1,96 |
37,41 |
35,94 |
105,93 |
291,55 |
31/mrt/2026 |
19,09 |
-6,08 |
10,57 |
7,00 |
19,91 |
31/dec/2025 |
01/jul/2002 |
51.487.198,73 |
144,05 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0097036916 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-11,58 |
13,20 |
17,70 |
6,39 |
12,95 |
5,96 |
31/mrt/2026 |
13,20 |
-0,92 |
45,38 |
-18,43 |
2,47 |
31/mrt/2026 |
-11,58 |
-12,12 |
63,06 |
36,30 |
238,08 |
375,00 |
31/mrt/2026 |
17,65 |
-40,57 |
52,68 |
30,14 |
9,90 |
31/dec/2025 |
30/apr/1999 |
161.219.853,38 |
55,45 |
- |
423,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0341380367 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-11,42 |
14,05 |
18,58 |
7,19 |
13,80 |
9,80 |
31/mrt/2026 |
14,05 |
-0,17 |
46,45 |
-17,80 |
3,25 |
31/mrt/2026 |
-11,42 |
-11,81 |
66,75 |
41,53 |
264,28 |
446,79 |
31/mrt/2026 |
18,54 |
-40,11 |
53,83 |
31,12 |
10,71 |
31/dec/2025 |
31/jan/2008 |
36.276.444,02 |
63,62 |
- |
423,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147387970 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-11,70 |
12,63 |
17,11 |
5,86 |
12,39 |
7,33 |
31/mrt/2026 |
12,63 |
-1,42 |
44,66 |
-18,82 |
1,95 |
31/mrt/2026 |
-11,70 |
-12,36 |
60,62 |
32,94 |
221,61 |
436,30 |
31/mrt/2026 |
17,05 |
-40,86 |
51,91 |
29,50 |
9,34 |
31/dec/2025 |
01/jul/2002 |
20.401.720,61 |
49,32 |
- |
423,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171298135 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-10,07 |
6,13 |
15,49 |
6,77 |
12,83 |
8,67 |
31/mrt/2026 |
6,13 |
-1,02 |
46,63 |
-16,96 |
8,45 |
31/mrt/2026 |
-10,07 |
-10,61 |
54,04 |
38,73 |
234,33 |
569,76 |
31/mrt/2026 |
27,23 |
-36,94 |
47,46 |
38,84 |
-2,78 |
31/dec/2025 |
19/mei/2003 |
37.457.492,67 |
47,43 |
- |
423,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171296865 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,88 |
24,09 |
15,10 |
10,82 |
12,76 |
8,77 |
31/mrt/2026 |
24,09 |
-3,31 |
27,08 |
-6,27 |
16,94 |
31/mrt/2026 |
-3,88 |
2,27 |
52,47 |
67,12 |
232,40 |
615,99 |
31/mrt/2026 |
34,14 |
-10,11 |
18,23 |
22,93 |
13,61 |
31/dec/2025 |
31/okt/2002 |
65.262.088,17 |
83,09 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0200684693 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,08 |
29,28 |
15,06 |
8,05 |
10,47 |
7,03 |
31/mrt/2026 |
29,28 |
-4,53 |
23,41 |
-11,43 |
9,18 |
31/mrt/2026 |
-6,08 |
-0,59 |
52,32 |
47,30 |
170,59 |
330,91 |
31/mrt/2026 |
22,90 |
-18,10 |
19,20 |
13,44 |
26,00 |
31/dec/2025 |
01/okt/2004 |
83.743.459,34 |
54,29 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204065857 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-4,27 |
29,10 |
14,68 |
11,29 |
13,80 |
10,46 |
31/mrt/2026 |
29,10 |
-5,42 |
23,52 |
-2,40 |
15,98 |
31/mrt/2026 |
-4,27 |
1,94 |
50,81 |
70,70 |
264,18 |
723,34 |
31/mrt/2026 |
25,37 |
-5,21 |
16,16 |
17,10 |
19,77 |
31/dec/2025 |
19/jan/2005 |
12.662.712,03 |
71,81 |
- |
2.354,48 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0154236417 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,50 |
32,38 |
17,30 |
10,43 |
12,89 |
9,49 |
31/mrt/2026 |
32,38 |
-3,23 |
25,99 |
-7,92 |
10,48 |
31/mrt/2026 |
-5,50 |
0,54 |
61,40 |
64,19 |
236,04 |
736,40 |
31/mrt/2026 |
24,03 |
-15,28 |
22,46 |
15,21 |
28,42 |
31/dec/2025 |
31/okt/2002 |
833.362.779,75 |
97,14 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171296949 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-4,02 |
23,45 |
14,52 |
10,26 |
12,20 |
8,24 |
31/mrt/2026 |
23,45 |
-3,80 |
26,47 |
-6,75 |
16,36 |
31/mrt/2026 |
-4,02 |
2,02 |
50,21 |
62,99 |
216,11 |
539,09 |
31/mrt/2026 |
33,46 |
-10,55 |
17,66 |
22,30 |
13,06 |
31/dec/2025 |
31/okt/2002 |
34.954.327,41 |
74,14 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0408221942 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,89 |
24,08 |
15,10 |
10,81 |
12,76 |
12,91 |
31/mrt/2026 |
24,08 |
-3,31 |
27,09 |
-6,28 |
16,93 |
31/mrt/2026 |
-3,89 |
2,27 |
52,48 |
67,09 |
232,19 |
707,91 |
31/mrt/2026 |
34,16 |
-10,13 |
18,25 |
22,92 |
13,62 |
31/dec/2025 |
19/jan/2009 |
5.038.777,92 |
83,11 |
- |
2.354,48 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0408222163 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,06 |
29,31 |
15,06 |
8,05 |
10,46 |
10,37 |
31/mrt/2026 |
29,31 |
-4,54 |
23,40 |
-11,40 |
9,15 |
31/mrt/2026 |
-6,06 |
-0,59 |
52,32 |
47,30 |
170,52 |
443,87 |
31/mrt/2026 |
22,90 |
-18,13 |
19,22 |
13,46 |
25,99 |
31/dec/2025 |
02/feb/2009 |
951.470,62 |
54,46 |
- |
2.354,48 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0154236920 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,61 |
31,70 |
16,72 |
9,87 |
12,32 |
8,96 |
31/mrt/2026 |
31,70 |
-3,70 |
25,39 |
-8,41 |
9,93 |
31/mrt/2026 |
-5,61 |
0,30 |
59,02 |
60,11 |
219,60 |
646,60 |
31/mrt/2026 |
23,40 |
-15,69 |
21,84 |
14,63 |
27,79 |
31/dec/2025 |
31/okt/2002 |
34.830.542,03 |
86,67 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0252969232 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,32 |
33,37 |
18,19 |
11,26 |
13,73 |
9,21 |
31/mrt/2026 |
33,37 |
-2,49 |
26,93 |
-7,24 |
11,32 |
31/mrt/2026 |
-5,32 |
0,92 |
65,08 |
70,46 |
262,18 |
475,28 |
31/mrt/2026 |
24,95 |
-14,64 |
23,37 |
16,08 |
29,39 |
31/dec/2025 |
19/mei/2006 |
180.388.808,00 |
113,05 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252963979 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,71 |
25,02 |
15,97 |
11,65 |
13,61 |
9,77 |
31/mrt/2026 |
25,02 |
-2,57 |
28,05 |
-5,57 |
17,81 |
31/mrt/2026 |
-3,71 |
2,67 |
55,96 |
73,51 |
258,22 |
536,68 |
31/mrt/2026 |
35,16 |
-9,44 |
19,14 |
23,83 |
14,48 |
31/dec/2025 |
19/mei/2006 |
34.938.973,91 |
96,69 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252964357 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,88 |
30,26 |
15,93 |
8,87 |
11,30 |
7,37 |
31/mrt/2026 |
30,26 |
-3,82 |
24,35 |
-10,75 |
10,00 |
31/mrt/2026 |
-5,88 |
-0,22 |
55,79 |
52,95 |
191,64 |
310,63 |
31/mrt/2026 |
23,82 |
-17,50 |
20,09 |
14,30 |
26,95 |
31/dec/2025 |
19/mei/2006 |
21.601.884,08 |
63,14 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0553294199 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,35 |
13,74 |
9,21 |
5,64 |
6,47 |
6,68 |
31/mrt/2026 |
13,74 |
0,97 |
13,41 |
-6,05 |
7,53 |
31/mrt/2026 |
-4,35 |
-1,58 |
30,24 |
31,57 |
87,21 |
170,40 |
31/mrt/2026 |
16,77 |
-14,84 |
15,32 |
7,88 |
16,44 |
31/dec/2025 |
12/nov/2010 |
51.407.390,24 |
19,14 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0213336463 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,57 |
6,37 |
9,63 |
7,25 |
7,91 |
6,71 |
31/mrt/2026 |
6,37 |
2,68 |
20,64 |
-6,58 |
15,25 |
31/mrt/2026 |
-1,57 |
3,98 |
31,77 |
41,87 |
114,15 |
292,57 |
31/mrt/2026 |
29,46 |
0,15 |
7,31 |
14,73 |
6,61 |
31/dec/2025 |
07/mrt/2005 |
167.530,69 |
135,80 |
- |
930,31 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0725892466 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,88 |
4,24 |
5,15 |
5,67 |
2,42 |
3,06 |
31/mrt/2026 |
4,24 |
2,53 |
8,77 |
5,41 |
7,50 |
31/mrt/2026 |
2,88 |
4,82 |
16,25 |
31,73 |
26,96 |
53,04 |
31/mrt/2026 |
8,00 |
3,32 |
5,67 |
6,27 |
3,33 |
31/dec/2025 |
17/feb/2012 |
- |
156,24 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0725892383 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,92 |
4,68 |
5,63 |
6,03 |
2,83 |
3,44 |
31/mrt/2026 |
4,68 |
2,95 |
9,36 |
5,29 |
8,02 |
31/mrt/2026 |
2,92 |
4,99 |
17,85 |
34,04 |
32,25 |
61,29 |
31/mrt/2026 |
8,51 |
3,43 |
5,98 |
6,71 |
3,87 |
31/dec/2025 |
17/feb/2012 |
- |
164,72 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0725887540 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
3,37 |
6,66 |
7,05 |
7,39 |
4,30 |
4,44 |
31/mrt/2026 |
6,66 |
4,12 |
10,46 |
7,55 |
8,28 |
31/mrt/2026 |
3,37 |
5,92 |
22,66 |
42,84 |
52,36 |
84,60 |
31/mrt/2026 |
8,80 |
4,83 |
7,78 |
7,82 |
5,64 |
31/dec/2025 |
17/feb/2012 |
- |
188,74 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU0765562458 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,89 |
4,08 |
5,05 |
5,79 |
2,50 |
2,86 |
31/mrt/2026 |
4,08 |
2,19 |
8,98 |
6,06 |
7,78 |
31/mrt/2026 |
2,89 |
4,76 |
15,91 |
32,50 |
28,05 |
48,39 |
31/mrt/2026 |
8,28 |
3,93 |
5,83 |
6,25 |
3,02 |
31/dec/2025 |
05/apr/2012 |
- |
160,19 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0297942434 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
1,77 |
2,75 |
-1,38 |
0,19 |
1,27 |
31/mrt/2026 |
1,77 |
3,24 |
3,26 |
-8,25 |
-6,26 |
31/mrt/2026 |
-1,33 |
-1,02 |
8,48 |
-6,71 |
1,93 |
26,22 |
31/mrt/2026 |
-2,84 |
-16,96 |
6,43 |
1,57 |
4,48 |
31/dec/2025 |
19/okt/2007 |
24.056.436,82 |
12,75 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0297942194 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,86 |
4,08 |
4,86 |
0,61 |
2,35 |
2,60 |
31/mrt/2026 |
4,08 |
5,11 |
5,38 |
-5,43 |
-5,46 |
31/mrt/2026 |
-0,86 |
0,00 |
15,29 |
3,08 |
26,16 |
60,60 |
31/mrt/2026 |
-2,04 |
-14,93 |
9,07 |
3,34 |
6,86 |
31/dec/2025 |
19/okt/2007 |
143.487.836,02 |
16,20 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0303846876 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,42 |
1,70 |
2,71 |
-1,40 |
0,19 |
1,29 |
31/mrt/2026 |
1,70 |
3,26 |
3,18 |
-8,14 |
-6,36 |
31/mrt/2026 |
-1,42 |
-1,04 |
8,36 |
-6,80 |
1,92 |
26,71 |
31/mrt/2026 |
-2,84 |
-16,98 |
6,45 |
1,54 |
4,51 |
31/dec/2025 |
19/okt/2007 |
1.583.983,48 |
7,70 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0307653898 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,45 |
1,22 |
2,23 |
-1,88 |
-0,31 |
0,79 |
31/mrt/2026 |
1,22 |
2,70 |
2,77 |
-8,68 |
-6,76 |
31/mrt/2026 |
-1,45 |
-1,36 |
6,83 |
-9,04 |
-3,02 |
15,70 |
31/mrt/2026 |
-3,33 |
-17,45 |
5,97 |
1,07 |
3,89 |
31/dec/2025 |
19/okt/2007 |
12.350.632,62 |
11,66 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0326960662 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,74 |
4,52 |
5,30 |
1,03 |
2,80 |
4,46 |
31/mrt/2026 |
4,52 |
5,47 |
5,93 |
-5,05 |
-5,04 |
31/mrt/2026 |
-0,74 |
0,17 |
16,77 |
5,28 |
31,76 |
108,92 |
31/mrt/2026 |
-1,58 |
-14,55 |
9,56 |
3,76 |
7,24 |
31/dec/2025 |
14/mei/2009 |
48.269.778,52 |
17,51 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0326961470 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,01 |
3,54 |
4,34 |
0,11 |
1,84 |
2,08 |
31/mrt/2026 |
3,54 |
4,59 |
4,89 |
-5,92 |
-5,91 |
31/mrt/2026 |
-1,01 |
-0,27 |
13,59 |
0,55 |
20,02 |
46,30 |
31/mrt/2026 |
-2,58 |
-15,30 |
8,51 |
2,81 |
6,33 |
31/dec/2025 |
19/okt/2007 |
9.043.149,06 |
14,76 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326951752 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,23 |
2,09 |
3,14 |
-0,97 |
0,63 |
3,02 |
31/mrt/2026 |
2,09 |
3,64 |
3,70 |
-7,78 |
-5,86 |
31/mrt/2026 |
-1,23 |
-0,87 |
9,73 |
-4,75 |
6,47 |
65,25 |
31/mrt/2026 |
-2,42 |
-16,56 |
6,87 |
2,09 |
4,78 |
31/dec/2025 |
15/mei/2009 |
34.832.934,22 |
13,76 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326423224 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,11 |
95,37 |
37,37 |
17,80 |
10,46 |
0,92 |
31/mrt/2026 |
95,37 |
43,36 |
-7,46 |
-17,69 |
6,33 |
31/mrt/2026 |
1,11 |
20,49 |
159,21 |
126,87 |
170,48 |
18,20 |
31/mrt/2026 |
-12,50 |
-20,85 |
2,20 |
10,98 |
151,40 |
31/dec/2025 |
30/nov/2007 |
112.729.626,22 |
11,78 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090831032 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,79 |
3,51 |
5,61 |
2,32 |
8,85 |
7,96 |
31/mrt/2026 |
3,51 |
-1,57 |
15,62 |
-10,11 |
5,93 |
31/mrt/2026 |
-9,79 |
-7,94 |
17,79 |
12,16 |
133,51 |
727,28 |
31/mrt/2026 |
19,02 |
-19,28 |
12,74 |
10,89 |
7,97 |
31/dec/2025 |
29/feb/1996 |
17.019.710,79 |
92,68 |
- |
586,05 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171279937 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,98 |
7,38 |
3,88 |
-3,10 |
-0,67 |
3,46 |
31/mrt/2026 |
7,38 |
1,06 |
3,28 |
-12,43 |
-12,98 |
31/mrt/2026 |
-2,98 |
-2,81 |
12,08 |
-14,59 |
-6,53 |
132,08 |
31/mrt/2026 |
-11,56 |
-22,41 |
10,57 |
-4,95 |
14,14 |
31/dec/2025 |
28/jun/2001 |
116.157,77 |
28,15 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204069685 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,62 |
5,27 |
2,06 |
-1,86 |
0,63 |
2,04 |
31/mrt/2026 |
5,27 |
-0,75 |
1,76 |
-6,72 |
-8,22 |
31/mrt/2026 |
-1,62 |
-1,19 |
6,32 |
-8,98 |
6,50 |
37,28 |
31/mrt/2026 |
-10,16 |
-12,74 |
5,39 |
-2,88 |
6,99 |
31/dec/2025 |
04/aug/2010 |
393.572,93 |
20,68 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0171279184 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,85 |
7,94 |
4,42 |
-2,61 |
-0,17 |
3,98 |
31/mrt/2026 |
7,94 |
1,56 |
3,85 |
-11,99 |
-12,56 |
31/mrt/2026 |
-2,85 |
-2,52 |
13,84 |
-12,39 |
-1,68 |
163,04 |
31/mrt/2026 |
-11,11 |
-22,05 |
11,14 |
-4,44 |
14,71 |
31/dec/2025 |
28/jun/2001 |
8.150.861,08 |
32,26 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171278889 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,88 |
7,92 |
4,41 |
-2,62 |
-0,17 |
4,08 |
31/mrt/2026 |
7,92 |
1,58 |
3,84 |
-12,03 |
-12,56 |
31/mrt/2026 |
-2,88 |
-2,58 |
13,84 |
-12,43 |
-1,70 |
169,33 |
31/mrt/2026 |
-11,15 |
-22,02 |
11,08 |
-4,45 |
14,75 |
31/dec/2025 |
29/jun/2001 |
83.725,94 |
20,49 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0172748641 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,84 |
7,98 |
4,41 |
-2,61 |
-0,17 |
2,56 |
31/mrt/2026 |
7,98 |
1,53 |
3,83 |
-11,98 |
-12,57 |
31/mrt/2026 |
-2,84 |
-2,53 |
13,83 |
-12,40 |
-1,67 |
77,01 |
31/mrt/2026 |
-11,12 |
-22,02 |
11,14 |
-4,44 |
14,69 |
31/dec/2025 |
01/sep/2003 |
813.200,90 |
20,48 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0277197678 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
0,55 |
-4,27 |
1,13 |
-0,49 |
0,77 |
2,70 |
31/mrt/2026 |
-4,27 |
3,20 |
4,71 |
-4,82 |
-0,91 |
31/mrt/2026 |
0,55 |
1,07 |
3,44 |
-2,44 |
8,00 |
67,51 |
31/mrt/2026 |
5,80 |
-8,91 |
2,60 |
9,12 |
-7,97 |
31/dec/2025 |
01/dec/2006 |
20.745.225,20 |
64,64 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0432366952 |
BGF Euro Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,33 |
1,46 |
2,38 |
1,23 |
0,24 |
0,08 |
31/mrt/2026 |
1,46 |
2,49 |
3,19 |
0,02 |
-0,95 |
31/mrt/2026 |
0,33 |
0,68 |
7,31 |
6,32 |
2,40 |
1,37 |
31/mrt/2026 |
-0,94 |
-0,56 |
2,62 |
2,93 |
1,60 |
31/dec/2025 |
24/jul/2009 |
55.149.774,79 |
72,82 |
- |
227,38 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252966485 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,50 |
5,44 |
8,69 |
7,08 |
7,83 |
6,85 |
31/mrt/2026 |
5,44 |
2,72 |
18,57 |
3,50 |
5,92 |
31/mrt/2026 |
-5,50 |
-3,55 |
28,42 |
40,78 |
112,47 |
272,97 |
31/mrt/2026 |
28,20 |
-18,78 |
16,13 |
14,13 |
15,29 |
31/dec/2025 |
19/mei/2006 |
272.615.453,06 |
60,05 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171269466 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-1,49 |
16,39 |
6,78 |
0,94 |
6,49 |
7,34 |
31/mrt/2026 |
16,39 |
6,48 |
-1,76 |
-5,50 |
-8,91 |
31/mrt/2026 |
-1,49 |
1,94 |
21,75 |
4,80 |
87,48 |
425,75 |
31/mrt/2026 |
3,25 |
-13,44 |
-1,82 |
13,76 |
15,41 |
31/dec/2025 |
31/okt/2002 |
28.405.254,15 |
58,89 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0072462343 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-3,13 |
24,17 |
8,82 |
0,58 |
6,60 |
4,01 |
31/mrt/2026 |
24,17 |
6,59 |
-2,63 |
-7,17 |
-13,94 |
31/mrt/2026 |
-3,13 |
0,20 |
28,87 |
2,96 |
89,54 |
215,67 |
31/mrt/2026 |
-4,51 |
-18,41 |
1,68 |
6,61 |
30,44 |
31/dec/2025 |
02/jan/1997 |
179.433.335,28 |
68,84 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204061278 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-1,88 |
21,08 |
6,39 |
1,37 |
7,46 |
8,26 |
31/mrt/2026 |
21,08 |
4,16 |
-4,52 |
-1,61 |
-9,67 |
31/mrt/2026 |
-1,88 |
1,59 |
20,42 |
7,03 |
105,36 |
437,47 |
31/mrt/2026 |
-3,48 |
-8,71 |
-3,55 |
8,37 |
21,66 |
31/dec/2025 |
19/jan/2005 |
2.013.712,55 |
48,38 |
- |
846,00 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0329592298 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
17,28 |
7,58 |
1,70 |
7,29 |
6,86 |
31/mrt/2026 |
17,28 |
7,29 |
-1,04 |
-4,78 |
-8,22 |
31/mrt/2026 |
-1,28 |
2,33 |
24,52 |
8,82 |
102,07 |
228,28 |
31/mrt/2026 |
4,04 |
-12,78 |
-1,09 |
14,62 |
16,26 |
31/dec/2025 |
28/apr/2008 |
108.405.748,79 |
67,51 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171270985 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-1,61 |
15,82 |
6,25 |
0,44 |
5,95 |
6,38 |
31/mrt/2026 |
15,82 |
5,93 |
-2,25 |
-5,97 |
-9,36 |
31/mrt/2026 |
-1,61 |
1,68 |
19,93 |
2,21 |
78,32 |
334,84 |
31/mrt/2026 |
2,76 |
-13,87 |
-2,32 |
13,18 |
14,84 |
31/dec/2025 |
01/jul/2002 |
34.543.812,81 |
52,24 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147401631 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-3,26 |
23,55 |
8,28 |
0,08 |
6,07 |
6,70 |
31/mrt/2026 |
23,55 |
6,04 |
-3,11 |
-7,63 |
-14,36 |
31/mrt/2026 |
-3,26 |
-0,06 |
26,94 |
0,42 |
80,30 |
366,93 |
31/mrt/2026 |
-5,01 |
-18,82 |
1,16 |
6,09 |
29,80 |
31/dec/2025 |
01/jul/2002 |
18.368.648,07 |
61,08 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0063728728 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,41 |
5,89 |
6,19 |
-0,65 |
1,79 |
5,07 |
31/mrt/2026 |
5,89 |
6,87 |
5,81 |
-6,38 |
-13,67 |
31/mrt/2026 |
-0,41 |
0,47 |
19,75 |
-3,21 |
19,38 |
343,86 |
31/mrt/2026 |
-7,45 |
-16,00 |
5,79 |
6,37 |
9,33 |
31/dec/2025 |
02/feb/1996 |
25.447.227,01 |
10,28 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0776122383 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,33 |
6,49 |
6,70 |
-0,16 |
2,30 |
3,09 |
31/mrt/2026 |
6,49 |
7,26 |
6,36 |
-5,91 |
-13,19 |
31/mrt/2026 |
-0,33 |
0,73 |
21,48 |
-0,78 |
25,58 |
52,70 |
31/mrt/2026 |
-6,98 |
-15,62 |
6,36 |
6,90 |
9,90 |
31/dec/2025 |
09/mei/2012 |
116.870.436,61 |
15,41 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0277197249 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
1,12 |
-1,21 |
3,66 |
-0,80 |
1,17 |
3,86 |
31/mrt/2026 |
-1,21 |
6,12 |
6,24 |
-5,18 |
-9,03 |
31/mrt/2026 |
1,12 |
1,93 |
11,38 |
-3,93 |
12,33 |
107,76 |
31/mrt/2026 |
-0,35 |
-11,39 |
1,66 |
12,96 |
-3,78 |
31/dec/2025 |
01/dec/2006 |
14.476.764,97 |
34,08 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147399801 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,58 |
5,39 |
5,64 |
-1,14 |
1,28 |
3,96 |
31/mrt/2026 |
5,39 |
6,23 |
5,31 |
-6,84 |
-14,05 |
31/mrt/2026 |
-0,58 |
0,20 |
17,91 |
-5,59 |
13,60 |
151,50 |
31/mrt/2026 |
-7,89 |
-16,49 |
5,28 |
5,91 |
8,76 |
31/dec/2025 |
01/jul/2002 |
7.052.813,98 |
39,84 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0784324112 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
4,65 |
3,89 |
4,76 |
8,30 |
5,18 |
5,50 |
31/mrt/2026 |
3,89 |
1,97 |
8,52 |
14,03 |
13,65 |
31/mrt/2026 |
4,65 |
7,34 |
14,97 |
49,00 |
65,64 |
110,07 |
31/mrt/2026 |
9,96 |
17,32 |
2,31 |
10,04 |
-1,58 |
31/dec/2025 |
16/mei/2012 |
- |
222,36 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0496817981 |
BSF Dynamic Diversified Growth Fund |
BlackRock (Luxembourg) S.A. |
0,38 |
11,42 |
6,17 |
2,07 |
2,61 |
2,43 |
31/mrt/2026 |
11,42 |
2,76 |
4,53 |
-5,91 |
-1,60 |
31/mrt/2026 |
0,38 |
1,91 |
19,69 |
10,81 |
29,45 |
43,88 |
31/mrt/2026 |
3,38 |
-11,65 |
4,84 |
4,85 |
10,24 |
31/dec/2025 |
28/jan/2011 |
- |
148,86 |
- |
352,13 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0586680109 |
BSF Dynamic Diversified Growth Fund |
BlackRock (Luxembourg) S.A. |
0,56 |
12,21 |
6,92 |
2,79 |
3,32 |
3,14 |
31/mrt/2026 |
12,21 |
3,49 |
5,25 |
-5,24 |
-0,91 |
31/mrt/2026 |
0,56 |
2,26 |
22,22 |
14,76 |
38,58 |
59,18 |
31/mrt/2026 |
4,11 |
-11,03 |
5,58 |
5,59 |
11,01 |
31/dec/2025 |
18/mrt/2011 |
- |
164,26 |
- |
352,13 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0586678897 |
BSF Dynamic Diversified Growth Fund |
BlackRock (Luxembourg) S.A. |
0,26 |
10,88 |
5,65 |
1,57 |
2,10 |
1,95 |
31/mrt/2026 |
10,88 |
2,24 |
4,02 |
-6,37 |
-2,10 |
31/mrt/2026 |
0,26 |
1,66 |
17,92 |
8,09 |
23,12 |
31,23 |
31/mrt/2026 |
2,87 |
-12,08 |
4,33 |
4,32 |
9,69 |
31/dec/2025 |
24/feb/2012 |
- |
138,71 |
- |
352,13 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0414666189 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,93 |
0,08 |
2,82 |
3,27 |
2,49 |
3,22 |
31/mrt/2026 |
0,08 |
-2,10 |
10,95 |
-1,84 |
10,08 |
31/mrt/2026 |
-0,93 |
0,31 |
8,71 |
17,46 |
27,92 |
70,84 |
31/mrt/2026 |
8,77 |
-4,45 |
4,77 |
7,03 |
-1,31 |
31/dec/2025 |
30/apr/2009 |
- |
171,83 |
- |
426,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0414665884 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,18 |
-0,91 |
1,87 |
2,39 |
1,61 |
2,35 |
31/mrt/2026 |
-0,91 |
-3,04 |
10,03 |
-2,66 |
9,33 |
31/mrt/2026 |
-1,18 |
-0,19 |
5,72 |
12,51 |
17,37 |
46,33 |
31/mrt/2026 |
7,86 |
-5,24 |
3,81 |
6,24 |
-2,37 |
31/dec/2025 |
27/feb/2009 |
- |
149,46 |
- |
426,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0418790928 |
BSF European Opportunities Extension Fund |
BlackRock (Luxembourg) S.A. |
-5,30 |
2,40 |
4,96 |
5,24 |
8,51 |
12,41 |
31/mrt/2026 |
2,40 |
-5,71 |
19,77 |
-4,91 |
17,40 |
31/mrt/2026 |
-5,30 |
-1,61 |
15,64 |
29,11 |
126,30 |
579,65 |
31/mrt/2026 |
43,64 |
-25,04 |
20,59 |
5,74 |
4,81 |
31/dec/2025 |
12/nov/2009 |
- |
634,97 |
- |
345,82 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0438336694 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,40 |
2,30 |
2,96 |
1,08 |
0,82 |
1,30 |
31/mrt/2026 |
2,30 |
2,99 |
3,59 |
-0,01 |
-3,31 |
31/mrt/2026 |
-1,40 |
-0,69 |
9,15 |
5,52 |
8,55 |
23,04 |
31/mrt/2026 |
-2,03 |
-1,43 |
2,30 |
3,32 |
4,46 |
31/dec/2025 |
03/apr/2010 |
- |
125,35 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0359204475 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,50 |
2,99 |
4,63 |
-7,18 |
4,08 |
4,29 |
31/mrt/2026 |
2,99 |
31,48 |
-15,40 |
-12,47 |
-31,28 |
31/mrt/2026 |
-6,50 |
-13,19 |
14,56 |
-31,09 |
49,18 |
100,00 |
31/mrt/2026 |
-14,31 |
-30,93 |
-11,49 |
16,53 |
24,36 |
31/dec/2025 |
28/sep/2009 |
161.658.345,46 |
23,56 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0628613803 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-5,17 |
4,85 |
6,09 |
4,18 |
8,81 |
9,28 |
31/mrt/2026 |
4,85 |
-4,33 |
19,04 |
-1,36 |
4,19 |
31/mrt/2026 |
-5,17 |
-2,11 |
19,41 |
22,73 |
132,69 |
274,13 |
31/mrt/2026 |
25,84 |
-24,36 |
19,04 |
7,70 |
10,51 |
31/dec/2025 |
18/mei/2011 |
92.447.222,25 |
47,61 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0204061609 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
29/dec/1995 |
288.121,22 |
39,98 |
- |
269,33 |
28/feb/2022 |
Distributie |
| - |
EUR |
LU0200683703 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
0,35 |
3,61 |
9,44 |
3,74 |
3,66 |
5,78 |
31/mrt/2026 |
3,61 |
6,82 |
18,43 |
-8,36 |
0,05 |
31/mrt/2026 |
0,35 |
4,07 |
31,08 |
20,18 |
43,32 |
228,22 |
31/mrt/2026 |
4,95 |
-11,78 |
11,31 |
15,39 |
1,14 |
31/dec/2025 |
31/jan/2005 |
1.030.057,45 |
8,08 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0200683885 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
0,30 |
3,54 |
9,44 |
3,74 |
3,67 |
5,87 |
31/mrt/2026 |
3,54 |
6,96 |
18,38 |
-8,33 |
0,00 |
31/mrt/2026 |
0,30 |
4,13 |
31,09 |
20,17 |
43,37 |
240,76 |
31/mrt/2026 |
4,92 |
-11,74 |
11,34 |
15,30 |
1,28 |
31/dec/2025 |
01/okt/2004 |
32.547.944,14 |
20,30 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0200684008 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
0,27 |
3,52 |
9,42 |
3,74 |
3,65 |
3,27 |
31/mrt/2026 |
3,52 |
6,88 |
18,39 |
-8,31 |
0,05 |
31/mrt/2026 |
0,27 |
4,02 |
30,99 |
20,16 |
43,18 |
99,53 |
31/mrt/2026 |
4,92 |
-11,74 |
11,36 |
15,31 |
1,24 |
31/dec/2025 |
01/okt/2004 |
4.164.319,89 |
8,34 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0200684180 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
0,17 |
2,99 |
8,89 |
3,21 |
3,15 |
5,31 |
31/mrt/2026 |
2,99 |
6,36 |
17,88 |
-8,81 |
-0,52 |
31/mrt/2026 |
0,17 |
3,83 |
29,13 |
17,14 |
36,30 |
199,00 |
31/mrt/2026 |
4,40 |
-12,14 |
10,74 |
14,74 |
0,73 |
31/dec/2025 |
31/jan/2005 |
36.567.409,29 |
18,26 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0653880657 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,07 |
29,68 |
11,66 |
0,92 |
5,16 |
3,59 |
31/mrt/2026 |
29,68 |
1,18 |
6,09 |
-10,66 |
-15,81 |
31/mrt/2026 |
-1,07 |
3,60 |
39,20 |
4,70 |
65,41 |
66,90 |
31/mrt/2026 |
-2,42 |
-25,08 |
10,99 |
-3,69 |
37,60 |
31/dec/2025 |
15/sep/2011 |
14.059.300,79 |
19,79 |
- |
208,01 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171275786 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
0,25 |
20,53 |
6,46 |
-2,09 |
6,46 |
5,98 |
31/mrt/2026 |
20,53 |
-4,64 |
4,96 |
-10,83 |
-16,38 |
31/mrt/2026 |
0,25 |
5,49 |
20,64 |
-10,04 |
87,01 |
307,20 |
31/mrt/2026 |
4,86 |
-23,67 |
4,75 |
3,68 |
13,65 |
31/dec/2025 |
31/jan/2002 |
89.107.972,41 |
47,05 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0047713382 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
-1,43 |
28,61 |
8,49 |
-2,44 |
6,58 |
4,85 |
31/mrt/2026 |
28,61 |
-4,56 |
4,03 |
-12,37 |
-21,00 |
31/mrt/2026 |
-1,43 |
3,70 |
27,69 |
-11,61 |
89,06 |
363,00 |
31/mrt/2026 |
-3,06 |
-28,04 |
8,48 |
-2,82 |
28,44 |
31/dec/2025 |
01/dec/1993 |
386.117.603,43 |
55,01 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0252970164 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
-1,23 |
29,59 |
9,32 |
-1,70 |
7,38 |
4,77 |
31/mrt/2026 |
29,59 |
-3,84 |
4,83 |
-11,72 |
-20,40 |
31/mrt/2026 |
-1,23 |
4,10 |
30,63 |
-8,20 |
103,79 |
152,20 |
31/mrt/2026 |
-2,32 |
-27,49 |
9,28 |
-2,07 |
29,40 |
31/dec/2025 |
19/mei/2006 |
14.751.436,06 |
63,97 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0172394222 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
1,67 |
4,00 |
-0,62 |
0,88 |
2,73 |
31/mrt/2026 |
1,67 |
3,53 |
6,86 |
-8,18 |
-6,13 |
31/mrt/2026 |
-1,15 |
-0,91 |
12,48 |
-3,05 |
9,18 |
69,96 |
31/mrt/2026 |
-1,88 |
-14,76 |
8,89 |
3,91 |
2,74 |
31/dec/2025 |
31/jul/2006 |
3.735.043,80 |
12,58 |
- |
2.050,30 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0368266499 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,02 |
2,05 |
4,42 |
-0,22 |
1,29 |
3,37 |
31/mrt/2026 |
2,05 |
3,97 |
7,29 |
-7,81 |
-5,75 |
31/mrt/2026 |
-1,02 |
-0,70 |
13,84 |
-1,07 |
13,63 |
73,77 |
31/mrt/2026 |
-1,44 |
-14,39 |
9,22 |
4,40 |
3,10 |
31/dec/2025 |
29/jul/2009 |
157.600.270,29 |
18,56 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171277485 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-7,25 |
11,65 |
9,94 |
5,90 |
7,14 |
- |
31/mrt/2026 |
11,65 |
2,03 |
16,66 |
0,93 |
-0,69 |
31/mrt/2026 |
-7,25 |
-5,54 |
32,90 |
33,21 |
99,33 |
- |
31/mrt/2026 |
17,62 |
-24,02 |
19,39 |
6,15 |
29,33 |
31/dec/2025 |
31/mrt/1999 |
30.650.409,99 |
60,29 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0093503141 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,77 |
4,13 |
7,35 |
5,75 |
6,49 |
5,34 |
31/mrt/2026 |
4,13 |
1,44 |
17,13 |
2,20 |
4,59 |
31/mrt/2026 |
-5,77 |
-4,14 |
23,72 |
32,24 |
87,51 |
297,58 |
31/mrt/2026 |
26,59 |
-19,78 |
14,67 |
12,71 |
13,84 |
31/dec/2025 |
23/sep/1999 |
100.162.282,78 |
45,18 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171278376 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-7,37 |
11,08 |
9,40 |
5,37 |
6,61 |
- |
31/mrt/2026 |
11,08 |
1,51 |
16,12 |
0,40 |
-1,19 |
31/mrt/2026 |
-7,37 |
-5,79 |
30,94 |
29,90 |
89,58 |
- |
31/mrt/2026 |
17,05 |
-24,39 |
18,78 |
5,61 |
28,70 |
31/dec/2025 |
04/jan/1999 |
100.246,90 |
52,83 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0252970834 |
BGF European Equity Transition Fund |
BlackRock (Luxembourg) S.A. |
-3,51 |
17,95 |
9,47 |
4,92 |
6,93 |
7,06 |
31/mrt/2026 |
17,95 |
-2,64 |
14,25 |
-4,31 |
1,25 |
31/mrt/2026 |
-3,51 |
1,54 |
31,20 |
27,12 |
95,43 |
303,48 |
31/mrt/2026 |
18,97 |
-29,22 |
21,69 |
-0,36 |
29,71 |
31/dec/2025 |
14/okt/2005 |
8.311.663,93 |
51,63 |
- |
299,85 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252967707 |
BGF European Equity Transition Fund |
BlackRock (Luxembourg) S.A. |
-1,97 |
10,03 |
6,88 |
4,76 |
6,28 |
5,94 |
31/mrt/2026 |
10,03 |
-3,24 |
14,69 |
-3,08 |
6,64 |
31/mrt/2026 |
-1,97 |
3,03 |
22,11 |
26,20 |
83,86 |
213,90 |
31/mrt/2026 |
28,01 |
-25,28 |
16,91 |
5,80 |
14,17 |
31/dec/2025 |
29/mei/2006 |
117.409.118,93 |
40,12 |
- |
299,85 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171277139 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-6,54 |
-0,40 |
0,96 |
-0,52 |
4,47 |
7,65 |
31/mrt/2026 |
-0,40 |
-9,12 |
13,68 |
-5,05 |
-0,28 |
31/mrt/2026 |
-6,54 |
-8,90 |
2,90 |
-2,57 |
54,82 |
441,95 |
31/mrt/2026 |
15,63 |
-30,53 |
20,53 |
-1,02 |
6,38 |
31/dec/2025 |
24/apr/2003 |
1.340.731,04 |
64,04 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171281750 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-4,07 |
21,25 |
15,79 |
10,25 |
7,65 |
7,10 |
31/mrt/2026 |
21,25 |
11,89 |
14,44 |
2,78 |
2,06 |
31/mrt/2026 |
-4,07 |
3,41 |
55,26 |
62,87 |
109,00 |
642,17 |
31/mrt/2026 |
12,30 |
-10,14 |
18,00 |
5,05 |
39,91 |
31/dec/2025 |
09/jan/1997 |
68.841.587,78 |
150,53 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0162690340 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,44 |
13,65 |
13,62 |
10,64 |
7,53 |
7,22 |
31/mrt/2026 |
13,65 |
11,79 |
15,44 |
4,64 |
8,02 |
31/mrt/2026 |
-2,44 |
5,19 |
46,67 |
65,78 |
106,67 |
394,69 |
31/mrt/2026 |
21,47 |
-4,66 |
13,94 |
12,07 |
23,80 |
31/dec/2025 |
25/apr/2003 |
24.979.794,57 |
89,43 |
- |
1.550,51 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0204062672 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,84 |
18,24 |
13,20 |
11,10 |
8,52 |
7,89 |
31/mrt/2026 |
18,24 |
9,35 |
12,20 |
8,96 |
7,11 |
31/mrt/2026 |
-2,84 |
4,84 |
45,06 |
69,30 |
126,45 |
400,52 |
31/mrt/2026 |
13,51 |
0,53 |
11,92 |
6,77 |
30,53 |
31/dec/2025 |
19/jan/2005 |
1.022.695,08 |
82,63 |
- |
1.550,51 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0171281834 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-4,19 |
20,64 |
15,22 |
9,70 |
7,11 |
6,19 |
31/mrt/2026 |
20,64 |
11,34 |
13,87 |
2,28 |
1,54 |
31/mrt/2026 |
-4,19 |
3,15 |
52,94 |
58,83 |
98,80 |
316,25 |
31/mrt/2026 |
11,75 |
-10,59 |
17,42 |
4,52 |
39,23 |
31/dec/2025 |
01/jul/2002 |
183.128,93 |
134,24 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0093503737 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-2,02 |
10,94 |
5,06 |
2,15 |
4,25 |
2,05 |
31/mrt/2026 |
10,94 |
-0,66 |
5,21 |
-9,70 |
6,20 |
31/mrt/2026 |
-2,02 |
1,21 |
15,95 |
11,20 |
51,68 |
72,68 |
31/mrt/2026 |
14,37 |
-14,69 |
4,61 |
6,24 |
8,52 |
31/dec/2025 |
07/apr/1999 |
750.339.452,79 |
19,44 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0238689896 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,92 |
7,57 |
8,84 |
5,01 |
8,51 |
6,45 |
31/mrt/2026 |
7,57 |
-1,61 |
21,82 |
-8,72 |
8,51 |
31/mrt/2026 |
-7,92 |
-3,18 |
28,93 |
27,71 |
126,27 |
250,96 |
31/mrt/2026 |
23,53 |
-15,27 |
12,43 |
22,64 |
4,83 |
31/dec/2025 |
31/jul/2006 |
48.632.415,59 |
32,43 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0326426086 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,87 |
8,59 |
10,53 |
5,72 |
6,34 |
3,13 |
31/mrt/2026 |
8,59 |
7,02 |
16,17 |
-8,05 |
6,39 |
31/mrt/2026 |
-0,87 |
-0,11 |
35,02 |
32,08 |
84,96 |
75,85 |
31/mrt/2026 |
16,74 |
-15,59 |
13,58 |
14,62 |
9,42 |
31/dec/2025 |
28/nov/2007 |
20.265.643,61 |
19,31 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0557294096 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-3,06 |
10,92 |
6,77 |
6,46 |
7,33 |
8,02 |
31/mrt/2026 |
10,92 |
-1,30 |
11,17 |
-0,45 |
12,85 |
31/mrt/2026 |
-3,06 |
-0,22 |
21,71 |
36,73 |
102,87 |
227,01 |
31/mrt/2026 |
18,00 |
-4,73 |
9,37 |
9,75 |
8,50 |
31/dec/2025 |
19/nov/2010 |
22.125.135,86 |
14,15 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0545040122 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,49 |
13,17 |
8,65 |
5,11 |
5,93 |
6,10 |
31/mrt/2026 |
13,17 |
0,45 |
12,83 |
-6,55 |
7,00 |
31/mrt/2026 |
-4,49 |
-1,88 |
28,27 |
28,27 |
77,94 |
132,53 |
31/mrt/2026 |
16,15 |
-15,24 |
14,72 |
7,39 |
15,83 |
31/dec/2025 |
30/dec/2011 |
4.988.520,33 |
27,14 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0006061385 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,10 |
2,35 |
2,52 |
-1,06 |
0,84 |
4,16 |
31/mrt/2026 |
2,35 |
2,76 |
2,44 |
-6,55 |
-5,82 |
31/mrt/2026 |
-1,10 |
-0,36 |
7,75 |
-5,17 |
8,71 |
388,36 |
31/mrt/2026 |
-2,97 |
-14,06 |
5,84 |
1,51 |
4,02 |
31/dec/2025 |
14/mei/1987 |
87.470.973,69 |
30,54 |
- |
812,75 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0172412149 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,10 |
2,35 |
2,52 |
-1,05 |
0,84 |
2,47 |
31/mrt/2026 |
2,35 |
2,77 |
2,44 |
-6,54 |
-5,82 |
31/mrt/2026 |
-1,10 |
-0,37 |
7,75 |
-5,16 |
8,71 |
73,04 |
31/mrt/2026 |
-2,97 |
-14,06 |
5,84 |
1,53 |
4,00 |
31/dec/2025 |
24/okt/2003 |
6.302.782,91 |
19,44 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0297940495 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,60 |
0,03 |
0,48 |
-2,93 |
-1,20 |
1,66 |
31/mrt/2026 |
0,03 |
1,10 |
0,30 |
-9,08 |
-6,57 |
31/mrt/2026 |
-1,60 |
-1,45 |
1,44 |
-13,82 |
-11,34 |
52,10 |
31/mrt/2026 |
-3,76 |
-15,98 |
3,39 |
-0,15 |
1,74 |
31/dec/2025 |
02/okt/2000 |
1.512.095,01 |
15,01 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0297943168 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,56 |
0,07 |
0,48 |
-2,94 |
-1,19 |
1,16 |
31/mrt/2026 |
0,07 |
1,03 |
0,36 |
-9,05 |
-6,63 |
31/mrt/2026 |
-1,56 |
-1,41 |
1,46 |
-13,84 |
-11,31 |
29,44 |
31/mrt/2026 |
-3,74 |
-16,01 |
3,41 |
-0,17 |
1,72 |
31/dec/2025 |
02/jun/2003 |
864.199,84 |
14,88 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0171284770 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,32 |
5,95 |
7,91 |
2,82 |
4,90 |
4,68 |
31/mrt/2026 |
5,95 |
6,77 |
11,10 |
-5,75 |
-2,96 |
31/mrt/2026 |
-1,32 |
0,03 |
25,67 |
14,93 |
61,37 |
136,40 |
31/mrt/2026 |
2,18 |
-12,82 |
11,84 |
8,12 |
8,19 |
31/dec/2025 |
08/jun/2007 |
4.867.866,40 |
7,56 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0297941899 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,07 |
6,66 |
8,71 |
3,55 |
5,62 |
7,04 |
31/mrt/2026 |
6,66 |
7,67 |
11,85 |
-5,08 |
-2,38 |
31/mrt/2026 |
-1,07 |
0,46 |
28,46 |
19,03 |
72,84 |
212,78 |
31/mrt/2026 |
2,91 |
-12,27 |
12,70 |
8,95 |
8,86 |
31/dec/2025 |
30/jun/2009 |
104.981.054,28 |
37,75 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0118259661 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,67 |
3,69 |
5,85 |
0,77 |
2,67 |
4,16 |
31/mrt/2026 |
3,69 |
4,95 |
8,98 |
-8,71 |
-4,01 |
31/mrt/2026 |
-1,67 |
-1,00 |
18,60 |
3,93 |
30,14 |
153,87 |
31/mrt/2026 |
1,33 |
-15,25 |
9,40 |
6,31 |
5,75 |
31/dec/2025 |
16/mei/2003 |
5.814.104,09 |
4,32 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0093504206 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,66 |
3,56 |
5,86 |
0,79 |
2,66 |
4,16 |
31/mrt/2026 |
3,56 |
5,13 |
8,98 |
-8,66 |
-4,02 |
31/mrt/2026 |
-1,66 |
-0,89 |
18,64 |
4,02 |
30,08 |
154,03 |
31/mrt/2026 |
1,32 |
-15,25 |
9,35 |
6,44 |
5,72 |
31/dec/2025 |
16/mei/2003 |
38.861.048,94 |
19,25 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0368267034 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,55 |
4,27 |
6,59 |
1,49 |
3,37 |
5,53 |
31/mrt/2026 |
4,27 |
5,89 |
9,69 |
-8,01 |
-3,33 |
31/mrt/2026 |
-1,55 |
-0,57 |
21,11 |
7,69 |
39,26 |
147,35 |
31/mrt/2026 |
2,00 |
-14,64 |
10,14 |
7,17 |
6,49 |
31/dec/2025 |
01/jun/2009 |
64.201.333,03 |
21,41 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0093505864 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,84 |
3,05 |
5,32 |
0,28 |
2,15 |
3,64 |
31/mrt/2026 |
3,05 |
4,56 |
8,41 |
-9,12 |
-4,48 |
31/mrt/2026 |
-1,84 |
-1,14 |
16,82 |
1,41 |
23,73 |
126,75 |
31/mrt/2026 |
0,80 |
-15,61 |
8,78 |
5,89 |
5,25 |
31/dec/2025 |
16/mei/2003 |
36.970.857,82 |
16,83 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0500207039 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,84 |
3,06 |
5,31 |
0,28 |
2,15 |
2,88 |
31/mrt/2026 |
3,06 |
4,59 |
8,36 |
-9,05 |
-4,52 |
31/mrt/2026 |
-1,84 |
-1,21 |
16,79 |
1,42 |
23,76 |
57,32 |
31/mrt/2026 |
0,80 |
-15,59 |
8,79 |
5,85 |
5,25 |
31/dec/2025 |
12/apr/2010 |
37.278.194,44 |
8,51 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0171285314 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-8,13 |
-2,47 |
4,15 |
3,20 |
9,28 |
5,18 |
31/mrt/2026 |
-2,47 |
-1,18 |
17,22 |
-8,04 |
12,68 |
31/mrt/2026 |
-8,13 |
-6,12 |
12,98 |
17,07 |
142,81 |
248,87 |
31/mrt/2026 |
29,39 |
-13,93 |
9,42 |
18,90 |
-3,99 |
31/dec/2025 |
28/jun/2001 |
130.118.704,27 |
90,58 |
- |
586,05 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0368270509 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,51 |
4,81 |
6,94 |
3,61 |
10,22 |
8,35 |
31/mrt/2026 |
4,81 |
-0,32 |
17,06 |
-8,97 |
7,25 |
31/mrt/2026 |
-9,51 |
-7,36 |
22,29 |
19,39 |
164,55 |
277,69 |
31/mrt/2026 |
20,51 |
-18,25 |
14,14 |
12,29 |
9,33 |
31/dec/2025 |
03/sep/2009 |
104.002.638,76 |
117,79 |
- |
586,05 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171285587 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-8,26 |
-2,98 |
3,63 |
2,69 |
8,73 |
4,65 |
31/mrt/2026 |
-2,98 |
-1,67 |
16,64 |
-8,49 |
12,12 |
31/mrt/2026 |
-8,26 |
-6,36 |
11,28 |
14,17 |
130,92 |
208,09 |
31/mrt/2026 |
28,73 |
-14,34 |
8,86 |
18,30 |
-4,47 |
31/dec/2025 |
28/jun/2001 |
72.821.653,95 |
79,27 |
- |
586,05 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147403843 |
BGF Systematic Global SmallCap Fund |
BlackRock (Luxembourg) S.A. |
0,99 |
27,82 |
13,34 |
6,68 |
8,75 |
7,57 |
31/mrt/2026 |
27,82 |
-1,27 |
15,37 |
-8,10 |
3,25 |
31/mrt/2026 |
0,99 |
3,20 |
45,59 |
38,16 |
131,33 |
465,45 |
31/mrt/2026 |
17,36 |
-16,44 |
16,80 |
6,71 |
21,19 |
31/dec/2025 |
01/jul/2002 |
18.340.710,28 |
186,68 |
- |
610,02 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0248271941 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-15,32 |
-18,87 |
-0,48 |
0,99 |
5,08 |
8,04 |
31/mrt/2026 |
-18,87 |
-1,30 |
23,10 |
-10,12 |
18,55 |
31/mrt/2026 |
-15,32 |
-12,04 |
-1,43 |
5,02 |
64,16 |
413,73 |
31/mrt/2026 |
35,83 |
-9,63 |
12,96 |
14,77 |
-14,07 |
31/dec/2025 |
02/feb/2005 |
30.186.013,12 |
41,71 |
- |
360,41 |
29/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0250163515 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-15,68 |
-15,62 |
-0,85 |
1,41 |
6,04 |
6,29 |
31/mrt/2026 |
-15,62 |
-3,69 |
19,94 |
-6,40 |
17,54 |
31/mrt/2026 |
-15,68 |
-12,35 |
-2,53 |
7,24 |
79,80 |
237,19 |
31/mrt/2026 |
26,92 |
-4,70 |
10,98 |
9,33 |
-9,40 |
31/dec/2025 |
28/apr/2006 |
1.438.846,06 |
36,36 |
- |
360,41 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU0248273566 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-15,43 |
-19,26 |
-0,97 |
0,48 |
4,56 |
7,53 |
31/mrt/2026 |
-19,26 |
-1,80 |
22,49 |
-10,57 |
17,97 |
31/mrt/2026 |
-15,43 |
-12,26 |
-2,89 |
2,45 |
56,19 |
365,10 |
31/mrt/2026 |
35,16 |
-10,09 |
12,42 |
14,18 |
-14,49 |
31/dec/2025 |
02/feb/2005 |
22.680.504,28 |
37,74 |
- |
360,41 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0248273137 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-16,84 |
-13,87 |
0,93 |
0,13 |
4,68 |
6,90 |
31/mrt/2026 |
-13,87 |
-1,83 |
21,60 |
-12,15 |
11,43 |
31/mrt/2026 |
-16,84 |
-13,75 |
2,81 |
0,64 |
57,93 |
310,30 |
31/mrt/2026 |
24,94 |
-15,26 |
16,43 |
7,02 |
-3,35 |
31/dec/2025 |
02/feb/2005 |
6.947.898,23 |
44,11 |
- |
360,41 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0006061252 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,92 |
30,53 |
16,39 |
3,84 |
7,06 |
6,05 |
31/mrt/2026 |
30,53 |
2,29 |
18,09 |
-11,09 |
-13,88 |
31/mrt/2026 |
0,92 |
2,99 |
57,68 |
20,73 |
97,76 |
879,50 |
31/mrt/2026 |
1,69 |
-22,72 |
11,33 |
8,77 |
30,49 |
31/dec/2025 |
14/mei/1987 |
101.592.261,76 |
107,80 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252965594 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,31 |
23,27 |
15,07 |
5,00 |
7,74 |
4,68 |
31/mrt/2026 |
23,27 |
2,97 |
20,03 |
-8,81 |
-8,16 |
31/mrt/2026 |
3,31 |
5,15 |
52,35 |
27,60 |
110,82 |
140,05 |
31/mrt/2026 |
10,71 |
-16,95 |
7,50 |
16,71 |
16,34 |
31/dec/2025 |
12/feb/2007 |
8.411.642,90 |
105,86 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0212924608 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,97 |
13,34 |
13,09 |
5,65 |
8,23 |
4,79 |
31/mrt/2026 |
13,34 |
-1,65 |
29,76 |
-3,32 |
-5,86 |
31/mrt/2026 |
1,97 |
4,66 |
44,64 |
31,64 |
120,50 |
168,17 |
31/mrt/2026 |
8,19 |
-15,33 |
17,73 |
20,04 |
5,42 |
31/dec/2025 |
28/feb/2005 |
13.420.044,29 |
21,22 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0236176334 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,59 |
17,90 |
12,64 |
6,10 |
9,21 |
5,93 |
31/mrt/2026 |
17,90 |
-3,81 |
26,03 |
0,69 |
-6,59 |
31/mrt/2026 |
1,59 |
4,23 |
42,93 |
34,43 |
141,32 |
237,09 |
31/mrt/2026 |
0,23 |
-11,09 |
15,69 |
14,57 |
10,91 |
31/dec/2025 |
28/feb/2005 |
1.471.601,44 |
18,00 |
- |
198.591,42 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0255399239 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,67 |
29,83 |
24,59 |
13,97 |
12,02 |
4,07 |
31/mrt/2026 |
29,83 |
-1,33 |
50,96 |
3,91 |
-4,33 |
31/mrt/2026 |
1,67 |
10,89 |
93,39 |
92,26 |
211,04 |
120,73 |
31/mrt/2026 |
9,88 |
-9,57 |
33,73 |
28,40 |
19,69 |
31/dec/2025 |
29/mei/2006 |
8.225.565,50 |
24,29 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0171289738 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
11,70 |
38,23 |
10,03 |
8,07 |
5,88 |
9,58 |
31/mrt/2026 |
38,23 |
-21,80 |
23,24 |
-7,05 |
19,06 |
31/mrt/2026 |
11,70 |
13,40 |
33,21 |
47,43 |
77,12 |
779,25 |
31/mrt/2026 |
-14,64 |
20,01 |
29,33 |
-32,94 |
36,28 |
31/dec/2025 |
01/jul/2002 |
2.430.536,24 |
62,54 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0072463663 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
10,28 |
41,78 |
12,56 |
7,24 |
5,04 |
6,39 |
31/mrt/2026 |
41,78 |
-19,99 |
25,71 |
-12,31 |
13,43 |
31/mrt/2026 |
10,28 |
11,86 |
42,59 |
41,82 |
63,47 |
510,43 |
31/mrt/2026 |
-15,55 |
7,27 |
36,35 |
-34,02 |
46,10 |
31/dec/2025 |
09/jan/1997 |
493.620.972,02 |
84,54 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252965164 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
12,36 |
33,88 |
11,27 |
8,43 |
5,71 |
3,25 |
31/mrt/2026 |
33,88 |
-19,45 |
27,75 |
-10,07 |
20,95 |
31/mrt/2026 |
12,36 |
14,21 |
37,76 |
49,85 |
74,25 |
84,16 |
31/mrt/2026 |
-7,96 |
14,66 |
32,64 |
-29,06 |
30,22 |
31/dec/2025 |
28/feb/2007 |
13.730.802,20 |
83,67 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171289571 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
12,02 |
32,21 |
9,89 |
7,08 |
4,40 |
7,85 |
31/mrt/2026 |
32,21 |
-20,45 |
26,17 |
-11,18 |
19,45 |
31/mrt/2026 |
12,02 |
13,49 |
32,69 |
40,78 |
53,78 |
468,65 |
31/mrt/2026 |
-9,11 |
13,23 |
31,03 |
-29,96 |
28,59 |
31/dec/2025 |
31/mrt/2003 |
9.318.805,77 |
64,21 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0171289811 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
11,58 |
37,56 |
9,48 |
7,53 |
5,36 |
8,92 |
31/mrt/2026 |
37,56 |
-22,19 |
22,61 |
-7,50 |
18,46 |
31/mrt/2026 |
11,58 |
13,14 |
31,23 |
43,79 |
68,50 |
614,03 |
31/mrt/2026 |
-15,05 |
19,42 |
28,68 |
-33,26 |
35,57 |
31/dec/2025 |
31/mrt/2003 |
178.720,72 |
55,54 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0278477574 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,50 |
11,93 |
6,33 |
2,51 |
1,97 |
3,67 |
31/mrt/2026 |
11,93 |
0,02 |
7,39 |
2,98 |
-8,58 |
31/mrt/2026 |
-2,50 |
0,82 |
20,21 |
13,19 |
21,52 |
181,86 |
31/mrt/2026 |
-8,18 |
-8,93 |
15,26 |
-6,29 |
19,77 |
31/dec/2025 |
26/jun/1997 |
4.165.864,56 |
3,09 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0383940458 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,50 |
12,22 |
6,80 |
3,00 |
2,46 |
1,88 |
31/mrt/2026 |
12,22 |
0,80 |
7,70 |
3,45 |
-8,00 |
31/mrt/2026 |
-2,50 |
0,89 |
21,83 |
15,95 |
27,55 |
37,33 |
31/mrt/2026 |
-7,79 |
-8,56 |
16,00 |
-5,72 |
20,30 |
31/dec/2025 |
01/sep/2008 |
39.970.624,86 |
30,43 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0359002093 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,29 |
8,88 |
3,86 |
0,05 |
-0,53 |
-1,71 |
31/mrt/2026 |
8,88 |
-1,74 |
4,72 |
-0,61 |
-9,95 |
31/mrt/2026 |
-3,29 |
-0,54 |
12,02 |
0,27 |
-5,15 |
-26,40 |
31/mrt/2026 |
-9,25 |
-12,01 |
12,38 |
-8,05 |
16,90 |
31/dec/2025 |
10/jun/2008 |
63.536.586,74 |
7,55 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0358998713 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,38 |
8,34 |
3,86 |
0,81 |
0,67 |
-0,86 |
31/mrt/2026 |
8,34 |
-1,74 |
5,23 |
1,86 |
-8,75 |
31/mrt/2026 |
-3,38 |
-0,81 |
12,03 |
4,13 |
6,86 |
-14,30 |
31/mrt/2026 |
-8,37 |
-9,88 |
13,42 |
-8,09 |
16,56 |
31/dec/2025 |
10/jun/2008 |
1.168.823,68 |
8,79 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171289902 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
8,58 |
45,98 |
7,52 |
6,19 |
11,08 |
2,20 |
31/mrt/2026 |
45,98 |
-14,64 |
-0,26 |
2,99 |
5,47 |
31/mrt/2026 |
8,58 |
16,39 |
24,29 |
35,02 |
185,88 |
72,40 |
31/mrt/2026 |
25,17 |
-13,41 |
8,94 |
-2,91 |
17,90 |
31/dec/2025 |
06/apr/2001 |
686.235.608,63 |
21,12 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0124384867 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,79 |
55,72 |
9,59 |
5,81 |
11,19 |
2,72 |
31/mrt/2026 |
55,72 |
-14,52 |
-1,13 |
1,14 |
-0,36 |
31/mrt/2026 |
6,79 |
14,44 |
31,61 |
32,64 |
188,93 |
95,68 |
31/mrt/2026 |
15,73 |
-18,32 |
12,76 |
-9,04 |
33,29 |
31/dec/2025 |
06/apr/2001 |
1.460.997.169,19 |
24,69 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204063720 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
8,15 |
51,78 |
7,11 |
6,62 |
12,08 |
5,46 |
31/mrt/2026 |
51,78 |
-16,44 |
-3,11 |
7,23 |
4,57 |
31/mrt/2026 |
8,15 |
15,93 |
22,89 |
37,79 |
212,83 |
191,11 |
31/mrt/2026 |
16,87 |
-8,64 |
7,06 |
-7,57 |
24,31 |
31/dec/2025 |
28/feb/2006 |
18.915.791,43 |
18,11 |
- |
5.086,07 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0171290074 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
8,48 |
45,26 |
6,99 |
5,65 |
10,51 |
1,70 |
31/mrt/2026 |
45,26 |
-15,02 |
-0,79 |
2,51 |
4,88 |
31/mrt/2026 |
8,48 |
16,11 |
22,46 |
31,66 |
171,73 |
52,42 |
31/mrt/2026 |
24,45 |
-13,77 |
8,38 |
-3,47 |
17,37 |
31/dec/2025 |
06/apr/2001 |
744.648.484,50 |
18,66 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0162691827 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,23 |
13,47 |
11,73 |
6,87 |
8,03 |
7,12 |
31/mrt/2026 |
13,47 |
2,78 |
19,59 |
-8,23 |
8,89 |
31/mrt/2026 |
-3,23 |
2,22 |
39,47 |
39,38 |
116,52 |
390,87 |
31/mrt/2026 |
19,68 |
-5,61 |
11,12 |
7,54 |
20,51 |
31/dec/2025 |
10/feb/2003 |
2.056.474,86 |
158,77 |
- |
930,31 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0200685666 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,95 |
10,25 |
8,83 |
3,93 |
5,11 |
3,80 |
31/mrt/2026 |
10,25 |
0,43 |
16,41 |
-12,04 |
6,93 |
31/mrt/2026 |
-3,95 |
0,75 |
28,89 |
21,24 |
64,59 |
121,55 |
31/mrt/2026 |
17,82 |
-9,14 |
7,56 |
5,18 |
17,29 |
31/dec/2025 |
30/nov/2004 |
6.113.740,83 |
74,97 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171301533 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
38,78 |
30,34 |
15,46 |
21,51 |
8,69 |
4,24 |
31/mrt/2026 |
30,34 |
-0,62 |
18,82 |
4,76 |
64,26 |
31/mrt/2026 |
38,78 |
40,58 |
53,91 |
164,84 |
130,19 |
182,17 |
31/mrt/2026 |
52,62 |
48,12 |
0,09 |
8,74 |
-3,53 |
31/dec/2025 |
06/apr/2001 |
286.841.636,76 |
30,15 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204068364 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
38,20 |
35,60 |
15,05 |
22,01 |
9,69 |
6,50 |
31/mrt/2026 |
35,60 |
-2,80 |
15,53 |
9,05 |
62,79 |
31/mrt/2026 |
38,20 |
40,06 |
52,28 |
170,33 |
152,16 |
279,65 |
31/mrt/2026 |
42,66 |
56,23 |
-1,66 |
3,59 |
1,69 |
31/dec/2025 |
19/jan/2005 |
6.616.014,41 |
22,88 |
- |
2.691,53 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0252963896 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
39,08 |
31,30 |
16,33 |
22,42 |
9,51 |
3,72 |
31/mrt/2026 |
31,30 |
0,18 |
19,69 |
5,54 |
65,47 |
31/mrt/2026 |
39,08 |
41,12 |
57,44 |
174,92 |
148,10 |
106,77 |
31/mrt/2026 |
53,93 |
49,21 |
0,82 |
9,58 |
-2,84 |
31/dec/2025 |
19/mei/2006 |
57.458.550,95 |
35,09 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0630472362 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
38,51 |
36,62 |
15,91 |
22,92 |
10,52 |
3,93 |
31/mrt/2026 |
36,62 |
-2,03 |
16,35 |
9,90 |
63,95 |
31/mrt/2026 |
38,51 |
40,59 |
55,73 |
180,58 |
171,87 |
77,32 |
31/mrt/2026 |
43,91 |
57,33 |
-0,99 |
4,44 |
2,42 |
31/dec/2025 |
27/mei/2011 |
49.826.941,61 |
23,20 |
- |
2.691,53 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0171304552 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
38,65 |
29,66 |
14,89 |
20,88 |
8,15 |
3,72 |
31/mrt/2026 |
29,66 |
-1,06 |
18,22 |
4,21 |
63,32 |
31/mrt/2026 |
38,65 |
40,19 |
51,66 |
158,13 |
118,90 |
149,10 |
31/mrt/2026 |
51,96 |
47,34 |
-0,41 |
8,23 |
-4,07 |
31/dec/2025 |
06/apr/2001 |
92.354.941,76 |
26,61 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0122377152 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,31 |
38,37 |
17,09 |
20,46 |
8,27 |
4,77 |
31/mrt/2026 |
38,37 |
-1,03 |
17,23 |
2,36 |
54,35 |
31/mrt/2026 |
36,31 |
37,83 |
60,54 |
153,64 |
121,41 |
220,60 |
31/mrt/2026 |
40,58 |
38,85 |
3,14 |
1,40 |
8,49 |
31/dec/2025 |
06/apr/2001 |
34.926.706,64 |
31,11 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326422333 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,09 |
36,84 |
16,31 |
19,41 |
7,26 |
-0,78 |
31/mrt/2026 |
36,84 |
-1,10 |
16,24 |
-0,16 |
54,55 |
31/mrt/2026 |
36,09 |
37,41 |
57,32 |
142,75 |
101,63 |
-12,95 |
31/mrt/2026 |
40,23 |
36,17 |
1,98 |
0,90 |
7,72 |
31/dec/2025 |
28/jul/2008 |
14.517.193,67 |
9,58 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171305443 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-11,65 |
16,90 |
25,97 |
12,17 |
13,55 |
6,89 |
31/mrt/2026 |
16,90 |
16,60 |
46,65 |
-11,46 |
0,34 |
31/mrt/2026 |
-11,65 |
-3,62 |
99,88 |
77,58 |
256,39 |
361,24 |
31/mrt/2026 |
24,99 |
-14,92 |
22,84 |
39,01 |
26,68 |
31/dec/2025 |
25/apr/2003 |
158.780.543,16 |
56,06 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147401714 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-13,14 |
24,70 |
28,37 |
11,77 |
13,67 |
6,53 |
31/mrt/2026 |
24,70 |
16,71 |
45,37 |
-13,01 |
-5,22 |
31/mrt/2026 |
-13,14 |
-5,27 |
111,56 |
74,43 |
260,20 |
349,17 |
31/mrt/2026 |
15,55 |
-19,81 |
27,22 |
30,28 |
43,20 |
31/dec/2025 |
01/jul/2002 |
114.835.740,16 |
65,54 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171305526 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
3,81 |
89,88 |
39,01 |
22,28 |
14,02 |
10,90 |
31/mrt/2026 |
89,88 |
46,48 |
-3,41 |
-11,28 |
14,69 |
31/mrt/2026 |
3,81 |
24,57 |
168,64 |
173,35 |
271,27 |
1.227,16 |
31/mrt/2026 |
-3,30 |
-11,94 |
2,84 |
21,17 |
129,53 |
31/dec/2025 |
05/apr/2001 |
1.468.466.394,13 |
87,60 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0252968424 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
2,25 |
104,06 |
42,74 |
22,76 |
15,00 |
6,23 |
31/mrt/2026 |
104,06 |
47,72 |
-3,51 |
-12,19 |
9,17 |
31/mrt/2026 |
2,25 |
22,91 |
190,85 |
178,82 |
304,65 |
231,99 |
31/mrt/2026 |
-9,91 |
-16,38 |
7,29 |
14,41 |
161,44 |
31/dec/2025 |
19/mei/2006 |
186.399.786,54 |
119,18 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171307068 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-3,60 |
-3,40 |
2,44 |
4,14 |
8,20 |
7,08 |
31/mrt/2026 |
-3,40 |
-2,25 |
13,84 |
-2,15 |
16,45 |
31/mrt/2026 |
-3,60 |
7,29 |
7,50 |
22,49 |
119,98 |
452,51 |
31/mrt/2026 |
23,50 |
0,57 |
-1,33 |
8,74 |
0,06 |
31/dec/2025 |
06/apr/2001 |
2.053.669.317,22 |
60,02 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0122379950 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,20 |
3,06 |
4,40 |
3,77 |
8,33 |
8,17 |
31/mrt/2026 |
3,06 |
-2,16 |
12,85 |
-3,86 |
10,00 |
31/mrt/2026 |
-5,20 |
5,47 |
13,79 |
20,34 |
122,50 |
611,10 |
31/mrt/2026 |
14,19 |
-5,21 |
2,18 |
1,94 |
13,09 |
31/dec/2025 |
06/apr/2001 |
3.445.129.734,08 |
70,17 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171309270 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-3,71 |
-3,88 |
1,93 |
3,62 |
7,66 |
6,55 |
31/mrt/2026 |
-3,88 |
-2,74 |
13,27 |
-2,63 |
15,87 |
31/mrt/2026 |
-3,71 |
7,01 |
5,89 |
19,47 |
109,25 |
388,26 |
31/mrt/2026 |
22,89 |
0,07 |
-1,83 |
8,20 |
-0,44 |
31/dec/2025 |
06/apr/2001 |
1.202.189.391,07 |
53,02 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0122380701 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,32 |
2,55 |
3,88 |
3,26 |
7,78 |
7,63 |
31/mrt/2026 |
2,55 |
-2,65 |
12,29 |
-4,35 |
9,47 |
31/mrt/2026 |
-5,32 |
5,21 |
12,09 |
17,37 |
111,58 |
528,40 |
31/mrt/2026 |
13,62 |
-5,67 |
1,66 |
1,43 |
12,53 |
31/dec/2025 |
06/apr/2001 |
542.970.249,89 |
61,99 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0172157280 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
10,10 |
63,90 |
14,62 |
12,62 |
15,20 |
8,62 |
31/mrt/2026 |
63,90 |
-2,10 |
-6,15 |
-13,60 |
39,25 |
31/mrt/2026 |
10,10 |
28,21 |
50,59 |
81,19 |
311,50 |
689,49 |
31/mrt/2026 |
25,58 |
7,20 |
-3,84 |
-4,95 |
50,81 |
31/dec/2025 |
05/apr/2001 |
1.300.514.950,68 |
92,22 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204068877 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
9,65 |
70,49 |
14,20 |
13,10 |
16,25 |
8,20 |
31/mrt/2026 |
70,49 |
-4,22 |
-8,80 |
-10,03 |
38,12 |
31/mrt/2026 |
9,65 |
27,79 |
48,92 |
85,06 |
350,91 |
431,61 |
31/mrt/2026 |
17,37 |
13,06 |
-5,54 |
-9,45 |
59,00 |
31/dec/2025 |
19/jan/2005 |
15.824.722,15 |
69,00 |
- |
7.469,06 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0172157363 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
9,97 |
63,07 |
14,05 |
12,06 |
14,62 |
- |
31/mrt/2026 |
63,07 |
-2,57 |
-6,63 |
-14,02 |
38,55 |
31/mrt/2026 |
9,97 |
27,90 |
48,34 |
76,71 |
291,43 |
- |
31/mrt/2026 |
24,94 |
6,67 |
-4,31 |
-5,43 |
50,05 |
31/dec/2025 |
01/sep/1998 |
170.416.166,26 |
80,76 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326424115 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,27 |
69,32 |
13,92 |
9,23 |
12,28 |
-2,09 |
31/mrt/2026 |
69,32 |
-3,83 |
-9,20 |
-19,04 |
29,89 |
31/mrt/2026 |
7,27 |
24,23 |
47,85 |
55,48 |
218,50 |
-32,24 |
31/mrt/2026 |
14,55 |
-3,02 |
-3,33 |
-12,69 |
66,01 |
31/dec/2025 |
31/okt/2007 |
132.764.762,17 |
7,49 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326425278 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,54 |
70,87 |
14,77 |
10,06 |
13,17 |
-1,03 |
31/mrt/2026 |
70,87 |
-3,20 |
-8,59 |
-18,48 |
31,05 |
31/mrt/2026 |
7,54 |
24,74 |
51,19 |
61,52 |
244,58 |
-17,30 |
31/mrt/2026 |
15,55 |
-2,36 |
-2,79 |
-11,88 |
67,17 |
31/dec/2025 |
31/okt/2007 |
43.173.298,05 |
8,57 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326425351 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,14 |
68,80 |
13,37 |
8,70 |
11,77 |
-2,24 |
31/mrt/2026 |
68,80 |
-4,40 |
-9,71 |
-19,40 |
29,20 |
31/mrt/2026 |
7,14 |
23,83 |
45,69 |
51,72 |
204,15 |
-34,00 |
31/mrt/2026 |
13,79 |
-3,46 |
-3,81 |
-13,05 |
65,15 |
31/dec/2025 |
31/okt/2007 |
57.218.346,79 |
6,83 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0171311680 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-7,90 |
23,96 |
18,67 |
7,05 |
20,28 |
10,91 |
31/mrt/2026 |
23,96 |
-3,96 |
40,36 |
-14,13 |
-2,01 |
31/mrt/2026 |
-7,90 |
-7,92 |
67,11 |
40,61 |
534,02 |
1.069,75 |
31/mrt/2026 |
9,17 |
-36,29 |
42,09 |
34,66 |
10,08 |
31/dec/2025 |
01/jul/2002 |
46.309.973,03 |
95,79 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171310955 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-7,63 |
18,57 |
18,52 |
6,07 |
18,60 |
9,44 |
31/mrt/2026 |
18,57 |
-2,30 |
43,71 |
-17,95 |
-1,68 |
31/mrt/2026 |
-7,63 |
-7,85 |
66,48 |
34,29 |
450,66 |
751,24 |
31/mrt/2026 |
16,25 |
-39,89 |
43,91 |
40,64 |
3,89 |
31/dec/2025 |
01/jul/2002 |
1.385.057.550,56 |
98,70 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147408487 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,17 |
26,49 |
20,79 |
5,70 |
18,74 |
10,01 |
31/mrt/2026 |
26,49 |
-2,22 |
42,47 |
-19,40 |
-7,10 |
31/mrt/2026 |
-9,17 |
-9,40 |
76,22 |
31,94 |
456,92 |
863,99 |
31/mrt/2026 |
7,47 |
-43,35 |
49,04 |
31,82 |
17,42 |
31/dec/2025 |
01/jul/2002 |
558.446.301,40 |
115,39 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0171270639 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-1,88 |
21,08 |
6,39 |
1,37 |
7,46 |
9,66 |
31/mrt/2026 |
21,08 |
4,18 |
-4,53 |
-1,60 |
-9,67 |
31/mrt/2026 |
-1,88 |
1,60 |
20,42 |
7,04 |
105,37 |
733,02 |
31/mrt/2026 |
-3,49 |
-8,72 |
-3,54 |
8,36 |
21,67 |
31/dec/2025 |
01/jul/2002 |
5.323.463,92 |
50,93 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0411709560 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-2,95 |
25,11 |
9,64 |
1,35 |
7,41 |
9,97 |
31/mrt/2026 |
25,11 |
7,39 |
-1,90 |
-6,47 |
-13,28 |
31/mrt/2026 |
-2,95 |
0,58 |
31,81 |
6,91 |
104,30 |
408,75 |
31/mrt/2026 |
-3,80 |
-17,80 |
2,43 |
7,43 |
31,42 |
31/dec/2025 |
20/feb/2009 |
56.560.195,33 |
78,93 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0063729296 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,45 |
5,91 |
6,16 |
-0,65 |
1,79 |
5,07 |
31/mrt/2026 |
5,91 |
6,77 |
5,81 |
-6,35 |
-13,61 |
31/mrt/2026 |
-0,45 |
0,45 |
19,65 |
-3,20 |
19,39 |
344,50 |
31/mrt/2026 |
-7,41 |
-16,06 |
5,79 |
6,44 |
9,30 |
31/dec/2025 |
02/feb/1996 |
268.317.178,96 |
44,85 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0540000063 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,11 |
3,02 |
3,95 |
-2,09 |
0,72 |
1,87 |
31/mrt/2026 |
3,02 |
4,78 |
4,05 |
-7,13 |
-13,72 |
31/mrt/2026 |
-1,11 |
-0,89 |
12,31 |
-10,00 |
7,42 |
33,20 |
31/mrt/2026 |
-7,51 |
-16,52 |
4,13 |
4,46 |
6,57 |
31/dec/2025 |
01/okt/2010 |
64.706.592,97 |
13,40 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU0724654230 |
BSF Dynamic Diversified Growth Fund |
BlackRock (Luxembourg) S.A. |
0,25 |
11,11 |
5,84 |
1,89 |
2,47 |
2,72 |
31/mrt/2026 |
11,11 |
2,31 |
4,28 |
-5,85 |
-1,60 |
31/mrt/2026 |
0,25 |
1,68 |
18,55 |
9,84 |
27,68 |
46,43 |
31/mrt/2026 |
3,59 |
-11,83 |
4,78 |
4,47 |
9,96 |
31/dec/2025 |
13/jan/2012 |
- |
150,35 |
- |
352,13 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0411704413 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,05 |
-0,41 |
2,35 |
2,83 |
2,06 |
2,84 |
31/mrt/2026 |
-0,41 |
-2,57 |
10,49 |
-2,25 |
9,73 |
31/mrt/2026 |
-1,05 |
0,07 |
7,20 |
14,99 |
22,60 |
61,34 |
31/mrt/2026 |
8,31 |
-4,85 |
4,29 |
6,62 |
-1,84 |
31/dec/2025 |
27/feb/2009 |
- |
160,41 |
- |
426,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0414668557 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,06 |
-0,42 |
2,35 |
2,84 |
2,07 |
2,84 |
31/mrt/2026 |
-0,42 |
-2,56 |
10,50 |
-2,25 |
9,73 |
31/mrt/2026 |
-1,06 |
0,07 |
7,23 |
15,01 |
22,72 |
60,97 |
31/mrt/2026 |
8,31 |
-4,85 |
4,29 |
6,65 |
-1,83 |
31/dec/2025 |
27/feb/2009 |
- |
160,38 |
- |
426,18 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0313923905 |
BSF European Opportunities Extension Fund |
BlackRock (Luxembourg) S.A. |
-5,57 |
7,06 |
5,05 |
6,16 |
9,97 |
14,18 |
31/mrt/2026 |
7,06 |
-7,35 |
16,87 |
-0,53 |
16,89 |
31/mrt/2026 |
-5,57 |
-1,70 |
15,93 |
34,80 |
158,69 |
904,74 |
31/mrt/2026 |
34,77 |
-20,60 |
19,04 |
1,11 |
11,05 |
31/dec/2025 |
31/aug/2007 |
- |
583,01 |
- |
345,82 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0313923228 |
BSF European Opportunities Extension Fund |
BlackRock (Luxembourg) S.A. |
-5,18 |
2,92 |
5,48 |
5,76 |
8,97 |
10,49 |
31/mrt/2026 |
2,92 |
-5,00 |
20,04 |
-4,37 |
17,87 |
31/mrt/2026 |
-5,18 |
-1,36 |
17,37 |
32,30 |
136,17 |
538,30 |
31/mrt/2026 |
44,23 |
-24,63 |
21,19 |
6,25 |
5,34 |
31/dec/2025 |
31/aug/2007 |
- |
681,54 |
- |
345,82 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0418791066 |
BSF European Opportunities Extension Fund |
BlackRock (Luxembourg) S.A. |
-5,06 |
3,44 |
5,99 |
6,26 |
9,45 |
15,40 |
31/mrt/2026 |
3,44 |
-4,38 |
20,39 |
-3,85 |
18,34 |
31/mrt/2026 |
-5,06 |
-1,12 |
19,07 |
35,49 |
146,60 |
1.044,42 |
31/mrt/2026 |
44,80 |
-24,25 |
21,56 |
6,93 |
5,87 |
31/dec/2025 |
25/mrt/2009 |
- |
722,57 |
- |
345,82 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0438336264 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
2,81 |
3,48 |
1,59 |
1,33 |
1,83 |
31/mrt/2026 |
2,81 |
3,51 |
4,11 |
0,50 |
-2,82 |
31/mrt/2026 |
-1,28 |
-0,44 |
10,80 |
8,20 |
14,17 |
34,84 |
31/mrt/2026 |
-1,54 |
-0,93 |
2,81 |
3,84 |
4,99 |
31/dec/2025 |
30/sep/2009 |
- |
135,96 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0438336421 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,18 |
3,23 |
3,89 |
2,00 |
1,74 |
2,23 |
31/mrt/2026 |
3,23 |
3,92 |
4,53 |
0,90 |
-2,44 |
31/mrt/2026 |
-1,18 |
-0,24 |
12,14 |
10,38 |
18,78 |
43,84 |
31/mrt/2026 |
-1,15 |
-0,53 |
3,22 |
4,27 |
5,40 |
31/dec/2025 |
30/sep/2009 |
- |
145,09 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU0359201885 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,02 |
2,99 |
3,80 |
-7,74 |
3,40 |
3,89 |
31/mrt/2026 |
2,99 |
29,78 |
-16,33 |
-12,93 |
-31,37 |
31/mrt/2026 |
-6,02 |
-12,89 |
11,84 |
-33,17 |
39,64 |
96,61 |
31/mrt/2026 |
-14,51 |
-31,52 |
-11,97 |
14,89 |
23,79 |
31/dec/2025 |
18/jul/2008 |
194.938.433,60 |
21,29 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0359201612 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,66 |
2,24 |
3,86 |
-7,87 |
3,31 |
3,74 |
31/mrt/2026 |
2,24 |
30,44 |
-16,00 |
-13,13 |
-31,79 |
31/mrt/2026 |
-6,66 |
-13,52 |
12,03 |
-33,62 |
38,46 |
91,90 |
31/mrt/2026 |
-14,97 |
-31,45 |
-12,14 |
15,69 |
23,41 |
31/dec/2025 |
24/jun/2008 |
556.740.938,02 |
20,80 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0359201455 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-7,29 |
-0,43 |
1,45 |
-10,31 |
0,70 |
1,80 |
31/mrt/2026 |
-0,43 |
27,57 |
-17,79 |
-16,88 |
-33,14 |
31/mrt/2026 |
-7,29 |
-14,56 |
4,41 |
-41,97 |
7,27 |
37,30 |
31/mrt/2026 |
-15,91 |
-34,48 |
-14,56 |
13,72 |
19,92 |
31/dec/2025 |
24/jun/2008 |
26.073.082,57 |
14,85 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0359202008 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-7,37 |
-1,04 |
1,21 |
-9,75 |
1,74 |
2,39 |
31/mrt/2026 |
-1,04 |
27,34 |
-17,72 |
-14,76 |
-32,24 |
31/mrt/2026 |
-7,37 |
-14,79 |
3,68 |
-40,12 |
18,83 |
52,10 |
31/mrt/2026 |
-15,29 |
-32,52 |
-14,08 |
13,26 |
19,42 |
31/dec/2025 |
24/jun/2008 |
47.623.740,06 |
16,44 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0359201026 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,86 |
1,38 |
3,01 |
-8,96 |
1,84 |
2,73 |
31/mrt/2026 |
1,38 |
29,49 |
-16,73 |
-15,30 |
-32,46 |
31/mrt/2026 |
-6,86 |
-13,74 |
9,31 |
-37,47 |
20,00 |
61,36 |
31/mrt/2026 |
-15,30 |
-33,20 |
-13,16 |
15,05 |
22,17 |
31/dec/2025 |
24/jun/2008 |
3.994.462,10 |
16,05 |
- |
1.113,27 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0224105477 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-5,14 |
4,87 |
6,09 |
4,19 |
8,81 |
9,47 |
31/mrt/2026 |
4,87 |
-4,33 |
19,03 |
-1,33 |
4,18 |
31/mrt/2026 |
-5,14 |
-2,10 |
19,42 |
22,75 |
132,63 |
3.414,21 |
31/mrt/2026 |
25,84 |
-24,37 |
19,05 |
7,68 |
10,50 |
31/dec/2025 |
24/nov/1986 |
933.192.333,11 |
48,83 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0224105980 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-5,26 |
4,34 |
5,57 |
3,67 |
8,27 |
8,69 |
31/mrt/2026 |
4,34 |
-4,80 |
18,46 |
-1,86 |
3,68 |
31/mrt/2026 |
-5,26 |
-2,35 |
17,67 |
19,74 |
121,38 |
2.550,95 |
31/mrt/2026 |
25,20 |
-24,74 |
18,46 |
7,13 |
9,96 |
31/dec/2025 |
24/nov/1986 |
289.303.354,87 |
44,04 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0534241806 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,78 |
6,46 |
7,57 |
5,46 |
9,57 |
10,32 |
31/mrt/2026 |
6,46 |
-2,98 |
20,50 |
-0,27 |
5,07 |
31/mrt/2026 |
-4,78 |
-1,24 |
24,47 |
30,42 |
149,42 |
359,20 |
31/mrt/2026 |
26,36 |
-23,51 |
20,83 |
8,95 |
12,28 |
31/dec/2025 |
24/sep/2010 |
16.034.924,38 |
48,16 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0011850392 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
31/dec/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2022 |
- |
- |
- |
- |
- |
- |
29/dec/1995 |
178.922.506,47 |
53,60 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
USD |
LU0171273575 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
01/sep/1998 |
55.462.638,41 |
60,16 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
EUR |
LU0408221355 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
19/jan/2009 |
1.994.650,38 |
47,63 |
- |
269,33 |
28/feb/2022 |
Distributie |
| - |
EUR |
LU0252967533 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
19/mei/2006 |
17.327.750,26 |
60,88 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
EUR |
LU0090830497 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
01/sep/1998 |
9.184.574,68 |
47,74 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
USD |
LU0171274896 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
01/sep/1998 |
251.796,88 |
53,58 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
SGD |
LU0572106309 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
28/jan/2011 |
489.314,69 |
5,23 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
USD |
LU0200680436 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,35 |
10,46 |
11,52 |
3,38 |
3,77 |
5,52 |
31/mrt/2026 |
10,46 |
7,04 |
17,29 |
-9,86 |
-5,55 |
31/mrt/2026 |
-1,35 |
2,39 |
38,69 |
18,08 |
44,84 |
217,11 |
31/mrt/2026 |
-3,00 |
-16,82 |
15,28 |
8,10 |
14,41 |
31/dec/2025 |
01/okt/2004 |
4.394.096,21 |
9,44 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0200680782 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,36 |
10,39 |
11,55 |
3,37 |
3,77 |
4,04 |
31/mrt/2026 |
10,39 |
7,09 |
17,40 |
-9,96 |
-5,55 |
31/mrt/2026 |
-1,36 |
2,39 |
38,79 |
18,03 |
44,85 |
134,37 |
31/mrt/2026 |
-2,97 |
-16,77 |
15,31 |
7,99 |
14,45 |
31/dec/2025 |
01/okt/2004 |
15.084.484,39 |
9,76 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0297941386 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,23 |
11,14 |
12,20 |
3,99 |
4,40 |
5,28 |
31/mrt/2026 |
11,14 |
7,65 |
18,06 |
-9,38 |
-4,98 |
31/mrt/2026 |
-1,23 |
2,64 |
41,24 |
21,62 |
53,87 |
163,08 |
31/mrt/2026 |
-2,37 |
-16,32 |
15,99 |
8,72 |
15,12 |
31/dec/2025 |
11/jun/2007 |
71.773.171,15 |
26,54 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0200681830 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,48 |
9,95 |
10,99 |
2,86 |
3,26 |
5,00 |
31/mrt/2026 |
9,95 |
6,46 |
16,81 |
-10,43 |
-5,96 |
31/mrt/2026 |
-1,48 |
2,13 |
36,73 |
15,16 |
37,82 |
185,36 |
31/mrt/2026 |
-3,43 |
-17,24 |
14,74 |
7,53 |
13,84 |
31/dec/2025 |
01/okt/2004 |
28.552.440,21 |
21,35 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0413376566 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,89 |
7,89 |
9,24 |
1,08 |
1,43 |
4,23 |
31/mrt/2026 |
7,89 |
5,14 |
14,93 |
-13,27 |
-6,70 |
31/mrt/2026 |
-1,89 |
1,26 |
30,38 |
5,50 |
15,22 |
102,76 |
31/mrt/2026 |
-3,90 |
-19,64 |
12,41 |
6,21 |
11,89 |
31/dec/2025 |
04/mrt/2009 |
9.151.099,31 |
18,21 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0653880731 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
29,74 |
11,67 |
0,94 |
5,17 |
3,56 |
31/mrt/2026 |
29,74 |
1,24 |
6,01 |
-10,61 |
-15,84 |
31/mrt/2026 |
-0,97 |
3,70 |
39,25 |
4,77 |
65,51 |
66,22 |
31/mrt/2026 |
-2,33 |
-25,09 |
10,92 |
-3,70 |
37,58 |
31/dec/2025 |
15/sep/2011 |
5.762.921,27 |
12,35 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0651946864 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,08 |
34,19 |
14,90 |
4,12 |
8,44 |
6,15 |
31/mrt/2026 |
34,19 |
3,78 |
8,94 |
-6,52 |
-13,70 |
31/mrt/2026 |
-0,08 |
5,37 |
51,71 |
22,39 |
124,79 |
139,40 |
31/mrt/2026 |
-0,73 |
-21,44 |
14,58 |
-1,52 |
42,03 |
31/dec/2025 |
12/aug/2011 |
32.677.689,39 |
28,46 |
- |
208,01 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0651947912 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,08 |
34,17 |
14,90 |
4,13 |
8,44 |
6,18 |
31/mrt/2026 |
34,17 |
3,78 |
8,93 |
-6,50 |
-13,68 |
31/mrt/2026 |
-0,08 |
5,41 |
51,67 |
22,42 |
124,78 |
140,64 |
31/mrt/2026 |
-0,71 |
-21,47 |
14,57 |
-1,49 |
42,03 |
31/dec/2025 |
12/aug/2011 |
3.824.227,59 |
17,69 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0653880228 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
0,11 |
35,17 |
15,77 |
4,92 |
9,25 |
7,02 |
31/mrt/2026 |
35,17 |
4,56 |
9,77 |
-5,81 |
-13,01 |
31/mrt/2026 |
0,11 |
5,79 |
55,15 |
27,12 |
142,23 |
168,04 |
31/mrt/2026 |
0,05 |
-20,89 |
15,45 |
-0,75 |
43,07 |
31/dec/2025 |
15/sep/2011 |
51.405.157,49 |
31,72 |
- |
208,01 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252967376 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
0,45 |
21,47 |
7,26 |
-1,35 |
7,26 |
5,30 |
31/mrt/2026 |
21,47 |
-3,93 |
5,74 |
-10,14 |
-15,74 |
31/mrt/2026 |
0,45 |
5,90 |
23,40 |
-6,57 |
101,51 |
179,13 |
31/mrt/2026 |
5,65 |
-23,07 |
5,51 |
4,48 |
14,49 |
31/dec/2025 |
19/mei/2006 |
30.138.767,13 |
54,72 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171276081 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
0,14 |
19,95 |
5,92 |
-2,58 |
5,93 |
4,75 |
31/mrt/2026 |
19,95 |
-5,13 |
4,44 |
-11,25 |
-16,82 |
31/mrt/2026 |
0,14 |
5,22 |
18,85 |
-12,26 |
77,88 |
224,03 |
31/mrt/2026 |
4,32 |
-24,03 |
4,24 |
3,16 |
13,05 |
31/dec/2025 |
01/sep/1998 |
38.439.183,78 |
41,07 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090830653 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
-1,56 |
27,94 |
7,95 |
-2,93 |
6,05 |
6,63 |
31/mrt/2026 |
27,94 |
-5,02 |
3,52 |
-12,83 |
-21,39 |
31/mrt/2026 |
-1,56 |
3,43 |
25,79 |
-13,80 |
79,85 |
486,79 |
31/mrt/2026 |
-3,54 |
-28,40 |
7,92 |
-3,31 |
27,82 |
31/dec/2025 |
01/sep/1998 |
19.878.143,14 |
48,01 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0162658883 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
1,66 |
4,01 |
-0,62 |
0,88 |
2,40 |
31/mrt/2026 |
1,66 |
3,56 |
6,88 |
-8,24 |
-6,10 |
31/mrt/2026 |
-1,15 |
-0,87 |
12,52 |
-3,05 |
9,15 |
59,57 |
31/mrt/2026 |
-1,85 |
-14,72 |
8,83 |
3,93 |
2,72 |
31/dec/2025 |
31/jul/2006 |
102.008.953,61 |
17,30 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0162659931 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,29 |
1,12 |
3,49 |
-1,11 |
0,38 |
1,89 |
31/mrt/2026 |
1,12 |
3,06 |
6,37 |
-8,72 |
-6,54 |
31/mrt/2026 |
-1,29 |
-1,16 |
10,85 |
-5,43 |
3,86 |
44,53 |
31/mrt/2026 |
-2,32 |
-15,14 |
8,26 |
3,41 |
2,24 |
31/dec/2025 |
31/jul/2006 |
146.681.287,00 |
15,43 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0500207542 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,23 |
1,19 |
3,48 |
-1,11 |
0,38 |
1,84 |
31/mrt/2026 |
1,19 |
2,98 |
6,33 |
-8,67 |
-6,56 |
31/mrt/2026 |
-1,23 |
-1,16 |
10,80 |
-5,44 |
3,82 |
33,86 |
31/mrt/2026 |
-2,32 |
-15,14 |
8,28 |
3,42 |
2,18 |
31/dec/2025 |
12/apr/2010 |
34.218.159,74 |
13,50 |
- |
2.050,30 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0432365988 |
BGF Euro Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,40 |
1,72 |
2,64 |
1,49 |
0,49 |
0,33 |
31/mrt/2026 |
1,72 |
2,75 |
3,45 |
0,27 |
-0,70 |
31/mrt/2026 |
0,40 |
0,80 |
8,12 |
7,66 |
4,98 |
5,70 |
31/mrt/2026 |
-0,69 |
-0,31 |
2,88 |
3,19 |
1,86 |
31/dec/2025 |
24/jul/2009 |
40.151.734,52 |
77,65 |
- |
227,38 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0432366796 |
BGF Euro Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,44 |
1,92 |
2,84 |
1,63 |
0,56 |
0,41 |
31/mrt/2026 |
1,92 |
2,96 |
3,65 |
0,38 |
-0,70 |
31/mrt/2026 |
0,44 |
0,90 |
8,77 |
8,41 |
5,73 |
7,08 |
31/mrt/2026 |
-0,69 |
-0,26 |
3,08 |
3,39 |
2,06 |
31/dec/2025 |
24/jul/2009 |
18.767.944,38 |
78,73 |
- |
227,38 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0093502762 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,67 |
4,65 |
7,88 |
6,28 |
7,02 |
5,98 |
31/mrt/2026 |
4,65 |
1,93 |
17,72 |
2,71 |
5,13 |
31/mrt/2026 |
-5,67 |
-3,91 |
25,57 |
35,58 |
97,16 |
386,20 |
31/mrt/2026 |
27,23 |
-19,39 |
15,28 |
13,25 |
14,43 |
31/dec/2025 |
04/jan/1999 |
558.277.374,18 |
51,57 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0162689763 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,66 |
4,65 |
7,89 |
6,28 |
7,02 |
7,99 |
31/mrt/2026 |
4,65 |
1,94 |
17,72 |
2,71 |
5,12 |
31/mrt/2026 |
-5,66 |
-3,92 |
25,59 |
35,59 |
97,14 |
492,11 |
31/mrt/2026 |
27,26 |
-19,40 |
15,26 |
13,27 |
14,42 |
31/dec/2025 |
14/feb/2003 |
103.024.375,21 |
44,23 |
- |
1.289,97 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0204061948 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-6,04 |
8,86 |
7,48 |
6,72 |
8,00 |
7,85 |
31/mrt/2026 |
8,86 |
-0,28 |
14,39 |
6,96 |
4,25 |
31/mrt/2026 |
-6,04 |
-4,22 |
24,18 |
38,46 |
115,85 |
226,32 |
31/mrt/2026 |
18,89 |
-14,99 |
13,22 |
7,90 |
20,63 |
31/dec/2025 |
04/aug/2010 |
652.266,78 |
41,17 |
- |
1.284,84 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU0589470326 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-6,24 |
2,45 |
5,57 |
4,83 |
6,15 |
6,87 |
31/mrt/2026 |
2,45 |
-0,41 |
15,32 |
2,12 |
5,36 |
31/mrt/2026 |
-6,24 |
-5,03 |
17,66 |
26,60 |
81,56 |
171,80 |
31/mrt/2026 |
26,80 |
-19,26 |
13,14 |
10,88 |
12,02 |
31/dec/2025 |
16/mrt/2011 |
6.413.238,94 |
28,82 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0619515397 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,36 |
7,09 |
9,56 |
7,19 |
6,24 |
7,80 |
31/mrt/2026 |
7,09 |
8,44 |
13,26 |
0,45 |
7,10 |
31/mrt/2026 |
-2,36 |
3,00 |
31,53 |
41,51 |
83,23 |
207,33 |
31/mrt/2026 |
20,01 |
-11,88 |
13,94 |
8,08 |
16,74 |
31/dec/2025 |
21/apr/2011 |
349.064.375,29 |
18,84 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0628612748 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,50 |
6,52 |
9,02 |
6,65 |
5,71 |
7,34 |
31/mrt/2026 |
6,52 |
7,89 |
12,75 |
-0,09 |
6,58 |
31/mrt/2026 |
-2,50 |
2,71 |
29,57 |
37,97 |
74,20 |
186,35 |
31/mrt/2026 |
19,51 |
-12,36 |
13,40 |
7,53 |
16,16 |
31/dec/2025 |
20/mei/2011 |
106.978.439,63 |
30,60 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0562822386 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,36 |
7,09 |
9,57 |
7,19 |
6,24 |
7,85 |
31/mrt/2026 |
7,09 |
8,42 |
13,30 |
0,41 |
7,11 |
31/mrt/2026 |
-2,36 |
3,01 |
31,56 |
41,49 |
83,26 |
218,50 |
31/mrt/2026 |
20,05 |
-11,88 |
13,93 |
8,09 |
16,75 |
31/dec/2025 |
03/dec/2010 |
164.309.201,21 |
32,95 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0561744862 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,38 |
7,05 |
9,56 |
7,18 |
6,24 |
7,86 |
31/mrt/2026 |
7,05 |
8,44 |
13,30 |
0,45 |
7,07 |
31/mrt/2026 |
-2,38 |
3,01 |
31,51 |
41,44 |
83,21 |
218,75 |
31/mrt/2026 |
20,02 |
-11,89 |
13,93 |
8,07 |
16,79 |
31/dec/2025 |
03/dec/2010 |
36.781.537,54 |
17,70 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0579997130 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,18 |
7,88 |
10,40 |
8,00 |
7,05 |
8,46 |
31/mrt/2026 |
7,88 |
9,25 |
14,16 |
1,19 |
7,92 |
31/mrt/2026 |
-2,18 |
3,38 |
34,55 |
46,93 |
97,55 |
243,41 |
31/mrt/2026 |
21,01 |
-11,24 |
14,77 |
8,91 |
17,63 |
31/dec/2025 |
21/jan/2011 |
84.172.744,75 |
36,69 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0579995191 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,46 |
6,54 |
9,03 |
6,65 |
5,72 |
7,12 |
31/mrt/2026 |
6,54 |
7,89 |
12,77 |
-0,11 |
6,57 |
31/mrt/2026 |
-2,46 |
2,78 |
29,62 |
37,98 |
74,35 |
184,50 |
31/mrt/2026 |
19,47 |
-12,31 |
13,35 |
7,54 |
16,16 |
31/dec/2025 |
21/jan/2011 |
108.802.173,85 |
16,47 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0229084990 |
BGF European Equity Transition Fund |
BlackRock (Luxembourg) S.A. |
-1,84 |
10,61 |
7,43 |
5,29 |
6,81 |
7,30 |
31/mrt/2026 |
10,61 |
-2,75 |
15,26 |
-2,60 |
7,17 |
31/mrt/2026 |
-1,84 |
3,30 |
23,98 |
29,41 |
93,32 |
322,40 |
31/mrt/2026 |
28,64 |
-24,89 |
17,49 |
6,32 |
14,75 |
31/dec/2025 |
14/okt/2005 |
72.674.512,78 |
44,16 |
- |
299,85 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0368266812 |
BGF European Equity Transition Fund |
BlackRock (Luxembourg) S.A. |
-1,63 |
11,44 |
8,26 |
6,10 |
7,63 |
7,80 |
31/mrt/2026 |
11,44 |
-1,99 |
16,15 |
-1,86 |
7,99 |
31/mrt/2026 |
-1,63 |
3,71 |
26,87 |
34,47 |
108,55 |
280,01 |
31/mrt/2026 |
29,66 |
-24,32 |
18,40 |
7,14 |
15,61 |
31/dec/2025 |
20/jun/2008 |
9.616.887,50 |
50,53 |
- |
299,85 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0011846440 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,52 |
2,14 |
3,21 |
2,88 |
6,09 |
6,66 |
31/mrt/2026 |
2,14 |
-6,88 |
15,58 |
-2,27 |
7,25 |
31/mrt/2026 |
-5,52 |
-4,39 |
9,94 |
15,23 |
80,58 |
704,86 |
31/mrt/2026 |
28,95 |
-24,73 |
17,71 |
6,96 |
4,93 |
31/dec/2025 |
30/nov/1993 |
338.230.538,58 |
197,07 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171280430 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-7,10 |
8,97 |
5,19 |
2,51 |
6,21 |
6,70 |
31/mrt/2026 |
8,97 |
-6,79 |
14,58 |
-4,00 |
1,33 |
31/mrt/2026 |
-7,10 |
-6,01 |
16,38 |
13,21 |
82,58 |
714,48 |
31/mrt/2026 |
19,22 |
-29,06 |
21,90 |
0,25 |
18,61 |
31/dec/2025 |
30/nov/1993 |
45.777.309,48 |
230,40 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0408221439 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,51 |
2,15 |
3,21 |
2,88 |
6,09 |
8,48 |
31/mrt/2026 |
2,15 |
-6,88 |
15,58 |
-2,26 |
7,24 |
31/mrt/2026 |
-5,51 |
-4,38 |
9,94 |
15,24 |
80,58 |
305,34 |
31/mrt/2026 |
28,95 |
-24,73 |
17,72 |
6,96 |
4,93 |
31/dec/2025 |
19/jan/2009 |
5.026.346,63 |
183,04 |
- |
1.140,89 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0204061864 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,91 |
6,25 |
2,83 |
3,31 |
7,06 |
6,80 |
31/mrt/2026 |
6,25 |
-8,90 |
12,34 |
1,76 |
6,35 |
31/mrt/2026 |
-5,91 |
-4,71 |
8,73 |
17,68 |
97,82 |
180,01 |
31/mrt/2026 |
20,50 |
-20,63 |
15,63 |
1,90 |
10,63 |
31/dec/2025 |
04/aug/2010 |
298.117,88 |
159,05 |
- |
1.140,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0252966055 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,34 |
2,91 |
3,99 |
3,65 |
6,89 |
6,03 |
31/mrt/2026 |
2,91 |
-6,17 |
16,45 |
-1,53 |
8,05 |
31/mrt/2026 |
-5,34 |
-4,03 |
12,45 |
19,64 |
94,65 |
219,85 |
31/mrt/2026 |
29,92 |
-24,16 |
18,60 |
7,77 |
5,72 |
31/dec/2025 |
19/mei/2006 |
103.140.640,33 |
229,51 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0411709727 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-6,93 |
9,79 |
5,98 |
3,28 |
7,01 |
9,14 |
31/mrt/2026 |
9,79 |
-6,08 |
15,44 |
-3,27 |
2,09 |
31/mrt/2026 |
-6,93 |
-5,65 |
19,03 |
17,54 |
96,81 |
346,87 |
31/mrt/2026 |
20,11 |
-28,53 |
22,82 |
1,02 |
19,50 |
31/dec/2025 |
20/feb/2009 |
20.563.182,70 |
268,33 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0090830901 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,63 |
1,64 |
2,69 |
2,36 |
5,56 |
- |
31/mrt/2026 |
1,64 |
-7,34 |
15,01 |
-2,75 |
6,71 |
31/mrt/2026 |
-5,63 |
-4,63 |
8,30 |
12,39 |
71,77 |
- |
31/mrt/2026 |
28,31 |
-25,11 |
17,13 |
6,42 |
4,41 |
31/dec/2025 |
30/nov/1993 |
66.472.293,19 |
172,22 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0526926950 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-4,92 |
4,74 |
5,11 |
5,02 |
8,21 |
7,82 |
31/mrt/2026 |
4,74 |
-5,76 |
17,63 |
1,32 |
8,61 |
31/mrt/2026 |
-4,92 |
-3,23 |
16,11 |
27,77 |
120,11 |
220,70 |
31/mrt/2026 |
30,21 |
-22,27 |
20,48 |
8,50 |
6,98 |
31/dec/2025 |
07/okt/2010 |
48.982.873,08 |
33,99 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0154234636 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,84 |
-6,17 |
-0,44 |
0,33 |
4,88 |
7,74 |
31/mrt/2026 |
-6,17 |
-8,75 |
15,25 |
-2,87 |
6,09 |
31/mrt/2026 |
-4,84 |
-7,10 |
-1,32 |
1,68 |
60,97 |
474,50 |
31/mrt/2026 |
25,68 |
-25,92 |
16,98 |
6,14 |
-5,42 |
31/dec/2025 |
14/okt/2002 |
262.205.068,81 |
60,95 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171276677 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-6,43 |
0,11 |
1,47 |
-0,02 |
4,99 |
8,44 |
31/mrt/2026 |
0,11 |
-8,67 |
14,25 |
-4,59 |
0,23 |
31/mrt/2026 |
-6,43 |
-8,68 |
4,46 |
-0,11 |
62,78 |
569,87 |
31/mrt/2026 |
16,21 |
-30,18 |
21,12 |
-0,51 |
6,90 |
31/dec/2025 |
14/okt/2002 |
97.675.456,95 |
71,26 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0252965834 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,65 |
-5,46 |
0,31 |
1,09 |
5,67 |
7,10 |
31/mrt/2026 |
-5,46 |
-8,06 |
16,13 |
-2,14 |
6,89 |
31/mrt/2026 |
-4,65 |
-6,75 |
0,94 |
5,58 |
73,52 |
290,88 |
31/mrt/2026 |
26,61 |
-25,37 |
17,85 |
6,95 |
-4,72 |
31/dec/2025 |
19/mei/2006 |
140.166.736,69 |
70,95 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0154235443 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,95 |
-6,63 |
-0,94 |
-0,17 |
4,35 |
7,25 |
31/mrt/2026 |
-6,63 |
-9,21 |
14,68 |
-3,35 |
5,55 |
31/mrt/2026 |
-4,95 |
-7,34 |
-2,79 |
-0,83 |
53,13 |
416,50 |
31/mrt/2026 |
25,06 |
-26,28 |
16,39 |
5,60 |
-5,89 |
31/dec/2025 |
14/okt/2002 |
47.537.567,65 |
54,77 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0072462186 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,43 |
13,66 |
13,62 |
10,64 |
7,53 |
7,38 |
31/mrt/2026 |
13,66 |
11,79 |
15,44 |
4,63 |
8,02 |
31/mrt/2026 |
-2,43 |
5,19 |
46,67 |
65,77 |
106,72 |
701,18 |
31/mrt/2026 |
21,47 |
-4,66 |
13,95 |
12,06 |
23,79 |
31/dec/2025 |
08/jan/1997 |
472.970.305,34 |
128,76 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0171282212 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,83 |
18,23 |
13,20 |
11,10 |
8,52 |
8,00 |
31/mrt/2026 |
18,23 |
9,36 |
12,20 |
8,95 |
7,11 |
31/mrt/2026 |
-2,83 |
4,84 |
45,07 |
69,29 |
126,44 |
522,10 |
31/mrt/2026 |
13,51 |
0,55 |
11,92 |
6,77 |
30,51 |
31/dec/2025 |
28/jun/2002 |
8.638.360,64 |
111,36 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0329592454 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,25 |
14,51 |
14,47 |
11,47 |
8,34 |
6,42 |
31/mrt/2026 |
14,51 |
12,63 |
16,30 |
5,43 |
8,82 |
31/mrt/2026 |
-2,25 |
5,58 |
50,00 |
72,11 |
122,79 |
213,84 |
31/mrt/2026 |
22,39 |
-3,95 |
14,80 |
12,92 |
24,72 |
31/dec/2025 |
12/nov/2007 |
209.125.303,92 |
147,87 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0147394679 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,55 |
13,09 |
13,05 |
10,09 |
7,00 |
6,89 |
31/mrt/2026 |
13,09 |
11,23 |
14,87 |
4,11 |
7,48 |
31/mrt/2026 |
-2,55 |
4,93 |
44,50 |
61,70 |
96,63 |
600,26 |
31/mrt/2026 |
20,86 |
-5,14 |
13,39 |
11,51 |
23,17 |
31/dec/2025 |
08/jan/1997 |
117.306.571,24 |
114,82 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0093503497 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,90 |
11,45 |
5,57 |
2,65 |
4,77 |
2,72 |
31/mrt/2026 |
11,45 |
-0,11 |
5,68 |
-9,25 |
6,75 |
31/mrt/2026 |
-1,90 |
1,44 |
17,66 |
13,98 |
59,40 |
107,47 |
31/mrt/2026 |
14,97 |
-14,29 |
5,18 |
6,76 |
9,07 |
31/dec/2025 |
04/jan/1999 |
567.994.245,63 |
22,25 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0473185139 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,80 |
12,06 |
6,16 |
3,22 |
5,41 |
5,51 |
31/mrt/2026 |
12,06 |
0,43 |
6,31 |
-8,77 |
7,38 |
31/mrt/2026 |
-1,80 |
1,73 |
19,64 |
17,20 |
69,38 |
139,65 |
31/mrt/2026 |
15,54 |
-13,81 |
5,78 |
7,38 |
9,67 |
31/dec/2025 |
14/dec/2009 |
182.432.593,40 |
24,79 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0494093205 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,39 |
14,01 |
7,57 |
4,52 |
6,70 |
5,41 |
31/mrt/2026 |
14,01 |
1,32 |
7,75 |
-6,82 |
7,54 |
31/mrt/2026 |
-1,39 |
2,52 |
24,47 |
24,73 |
91,30 |
131,61 |
31/mrt/2026 |
15,74 |
-12,41 |
7,54 |
8,38 |
11,32 |
31/dec/2025 |
16/apr/2010 |
120.444.307,39 |
63,58 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0494093627 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,52 |
13,46 |
7,04 |
4,00 |
6,17 |
4,88 |
31/mrt/2026 |
13,46 |
0,83 |
7,20 |
-7,28 |
6,98 |
31/mrt/2026 |
-1,52 |
2,27 |
22,63 |
21,64 |
81,98 |
113,86 |
31/mrt/2026 |
15,18 |
-12,86 |
7,04 |
7,80 |
10,78 |
31/dec/2025 |
16/apr/2010 |
75.960.962,70 |
55,52 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0408221603 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,78 |
8,13 |
9,40 |
5,55 |
9,06 |
10,23 |
31/mrt/2026 |
8,13 |
-1,12 |
22,46 |
-8,29 |
9,08 |
31/mrt/2026 |
-7,78 |
-2,95 |
30,94 |
30,99 |
137,98 |
433,81 |
31/mrt/2026 |
24,14 |
-14,82 |
12,99 |
23,22 |
5,37 |
31/dec/2025 |
19/jan/2009 |
1.458.689,82 |
35,78 |
- |
458,43 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0368268198 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,17 |
16,18 |
12,32 |
5,96 |
10,00 |
7,12 |
31/mrt/2026 |
16,18 |
-0,27 |
22,30 |
-9,20 |
3,81 |
31/mrt/2026 |
-9,17 |
-4,25 |
41,71 |
33,58 |
159,36 |
239,48 |
31/mrt/2026 |
15,61 |
-19,12 |
17,91 |
16,37 |
19,99 |
31/dec/2025 |
20/jun/2008 |
25.492.329,54 |
47,99 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0238689623 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,79 |
8,11 |
9,39 |
5,54 |
9,06 |
6,98 |
31/mrt/2026 |
8,11 |
-1,11 |
22,44 |
-8,27 |
9,06 |
31/mrt/2026 |
-7,79 |
-2,97 |
30,89 |
30,94 |
137,95 |
288,01 |
31/mrt/2026 |
24,17 |
-14,84 |
13,00 |
23,23 |
5,35 |
31/dec/2025 |
31/jul/2006 |
34.148.388,23 |
35,87 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0238690555 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,96 |
12,25 |
9,12 |
2,67 |
6,69 |
3,94 |
31/mrt/2026 |
12,25 |
-2,62 |
18,84 |
-13,50 |
1,53 |
31/mrt/2026 |
-9,96 |
-5,77 |
29,91 |
14,09 |
91,13 |
104,60 |
31/mrt/2026 |
13,55 |
-22,77 |
13,96 |
13,62 |
16,35 |
31/dec/2025 |
18/sep/2007 |
5.204.818,89 |
23,20 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0238690985 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-10,08 |
11,65 |
8,56 |
2,16 |
6,16 |
5,41 |
31/mrt/2026 |
11,65 |
-3,09 |
18,26 |
-13,94 |
1,04 |
31/mrt/2026 |
-10,08 |
-6,05 |
27,96 |
11,26 |
81,79 |
132,45 |
31/mrt/2026 |
12,99 |
-23,10 |
13,36 |
13,00 |
15,78 |
31/dec/2025 |
31/mrt/2010 |
3.657.990,27 |
21,40 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0238689110 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,34 |
15,33 |
11,49 |
5,17 |
9,18 |
6,83 |
31/mrt/2026 |
15,33 |
-1,03 |
21,40 |
-9,91 |
3,04 |
31/mrt/2026 |
-9,34 |
-4,58 |
38,58 |
28,64 |
140,61 |
276,80 |
31/mrt/2026 |
14,78 |
-19,71 |
17,04 |
15,49 |
19,08 |
31/dec/2025 |
31/jul/2006 |
174.680.387,93 |
41,94 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0238689201 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,46 |
14,75 |
10,91 |
4,64 |
8,63 |
6,29 |
31/mrt/2026 |
14,75 |
-1,53 |
20,74 |
-10,31 |
2,50 |
31/mrt/2026 |
-9,46 |
-4,86 |
36,44 |
25,44 |
128,81 |
240,70 |
31/mrt/2026 |
14,18 |
-20,13 |
16,48 |
14,91 |
18,48 |
31/dec/2025 |
31/jul/2006 |
11.204.092,76 |
37,92 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0278718100 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,68 |
9,26 |
10,68 |
5,12 |
5,34 |
2,65 |
31/mrt/2026 |
9,26 |
7,17 |
15,79 |
-10,22 |
5,44 |
31/mrt/2026 |
-0,68 |
0,23 |
35,59 |
28,35 |
68,19 |
65,46 |
31/mrt/2026 |
15,92 |
-17,61 |
12,71 |
14,79 |
9,91 |
31/dec/2025 |
20/dec/2006 |
23.232.327,49 |
14,03 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0278719090 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,57 |
9,37 |
10,71 |
5,13 |
5,33 |
2,73 |
31/mrt/2026 |
9,37 |
7,12 |
15,82 |
-10,32 |
5,55 |
31/mrt/2026 |
-0,57 |
0,34 |
35,68 |
28,43 |
68,14 |
68,11 |
31/mrt/2026 |
15,67 |
-17,46 |
12,66 |
14,96 |
9,64 |
31/dec/2025 |
20/dec/2006 |
27.198.441,22 |
3,71 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0278719173 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,83 |
8,68 |
10,13 |
4,58 |
4,80 |
2,15 |
31/mrt/2026 |
8,68 |
6,65 |
15,22 |
-10,71 |
4,89 |
31/mrt/2026 |
-0,83 |
0,00 |
33,56 |
25,08 |
59,84 |
50,63 |
31/mrt/2026 |
15,30 |
-18,01 |
12,25 |
14,11 |
9,39 |
31/dec/2025 |
20/dec/2006 |
23.174.464,24 |
12,76 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0265550359 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,12 |
12,04 |
13,06 |
7,49 |
7,72 |
4,73 |
31/mrt/2026 |
12,04 |
9,10 |
18,24 |
-6,90 |
6,66 |
31/mrt/2026 |
-0,12 |
1,40 |
44,53 |
43,52 |
110,36 |
145,70 |
31/mrt/2026 |
16,92 |
-14,84 |
15,76 |
16,66 |
12,59 |
31/dec/2025 |
13/okt/2006 |
405.086.479,92 |
26,13 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0265550946 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,10 |
12,18 |
13,08 |
7,53 |
7,73 |
4,70 |
31/mrt/2026 |
12,18 |
9,15 |
18,10 |
-6,77 |
6,61 |
31/mrt/2026 |
-0,10 |
1,47 |
44,61 |
43,73 |
110,46 |
144,58 |
31/mrt/2026 |
17,00 |
-14,83 |
15,75 |
16,58 |
12,72 |
31/dec/2025 |
13/okt/2006 |
87.976.436,59 |
5,90 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0368268602 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
0,11 |
13,07 |
14,08 |
8,47 |
8,64 |
5,88 |
31/mrt/2026 |
13,07 |
10,09 |
19,26 |
-6,00 |
7,62 |
31/mrt/2026 |
0,11 |
1,87 |
48,46 |
50,19 |
128,98 |
176,24 |
31/mrt/2026 |
17,93 |
-14,07 |
16,76 |
17,75 |
13,63 |
31/dec/2025 |
20/jun/2008 |
118.497.185,75 |
30,19 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0654592483 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,62 |
13,26 |
9,34 |
5,95 |
6,12 |
7,22 |
31/mrt/2026 |
13,26 |
1,37 |
13,84 |
-4,47 |
6,90 |
31/mrt/2026 |
-4,62 |
-1,84 |
30,70 |
33,48 |
81,20 |
176,70 |
31/mrt/2026 |
16,31 |
-13,81 |
16,02 |
8,12 |
16,51 |
31/dec/2025 |
22/aug/2011 |
46.326.809,60 |
29,92 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0545039389 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,35 |
13,75 |
9,21 |
5,64 |
6,47 |
6,68 |
31/mrt/2026 |
13,75 |
0,98 |
13,38 |
-6,06 |
7,54 |
31/mrt/2026 |
-4,35 |
-1,60 |
30,24 |
31,57 |
87,20 |
170,50 |
31/mrt/2026 |
16,76 |
-14,83 |
15,32 |
7,91 |
16,43 |
31/dec/2025 |
12/nov/2010 |
181.458.779,51 |
29,27 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0739721834 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,74 |
6,64 |
7,14 |
6,01 |
6,35 |
7,69 |
31/mrt/2026 |
6,64 |
0,85 |
14,36 |
-4,38 |
13,82 |
31/mrt/2026 |
-2,74 |
0,06 |
22,99 |
33,86 |
85,13 |
185,55 |
31/mrt/2026 |
26,32 |
-9,67 |
11,40 |
15,06 |
3,01 |
31/dec/2025 |
31/jan/2012 |
12.649.646,56 |
16,67 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0738911758 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,35 |
13,76 |
9,19 |
5,63 |
6,47 |
6,66 |
31/mrt/2026 |
13,76 |
0,97 |
13,33 |
-6,05 |
7,52 |
31/mrt/2026 |
-4,35 |
-1,61 |
30,18 |
31,50 |
87,22 |
149,08 |
31/mrt/2026 |
16,79 |
-14,86 |
15,35 |
7,92 |
16,38 |
31/dec/2025 |
01/feb/2012 |
52.617.034,01 |
19,23 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0545039975 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,17 |
14,62 |
10,02 |
6,43 |
7,27 |
7,67 |
31/mrt/2026 |
14,62 |
1,73 |
14,22 |
-5,36 |
8,33 |
31/mrt/2026 |
-4,17 |
-1,24 |
33,19 |
36,54 |
101,73 |
210,68 |
31/mrt/2026 |
17,67 |
-14,21 |
16,19 |
8,74 |
17,26 |
31/dec/2025 |
24/nov/2010 |
67.419.858,03 |
32,85 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0628613043 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,81 |
6,10 |
6,61 |
5,49 |
5,82 |
7,17 |
31/mrt/2026 |
6,10 |
0,39 |
13,75 |
-4,82 |
13,27 |
31/mrt/2026 |
-2,81 |
-0,14 |
21,16 |
30,61 |
76,05 |
179,69 |
31/mrt/2026 |
25,66 |
-10,08 |
10,80 |
14,52 |
2,47 |
31/dec/2025 |
20/mei/2011 |
20.388.304,89 |
23,21 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0579999342 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,46 |
13,21 |
8,64 |
5,11 |
5,93 |
6,10 |
31/mrt/2026 |
13,21 |
0,44 |
12,77 |
-6,51 |
7,02 |
31/mrt/2026 |
-4,46 |
-1,87 |
28,23 |
28,29 |
77,96 |
145,99 |
31/mrt/2026 |
16,22 |
-15,24 |
14,71 |
7,34 |
15,84 |
31/dec/2025 |
21/jan/2011 |
22.577.251,03 |
17,78 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0625451603 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,95 |
10,86 |
6,81 |
3,13 |
4,01 |
4,58 |
31/mrt/2026 |
10,86 |
-0,85 |
10,87 |
-9,75 |
6,07 |
31/mrt/2026 |
-4,95 |
-2,76 |
21,86 |
16,66 |
48,20 |
94,00 |
31/mrt/2026 |
15,59 |
-17,89 |
12,19 |
6,02 |
13,64 |
31/dec/2025 |
17/jun/2011 |
17.249.918,76 |
20,95 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0661495795 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-5,07 |
10,16 |
6,68 |
3,80 |
5,10 |
5,67 |
31/mrt/2026 |
10,16 |
-0,99 |
11,31 |
-7,47 |
7,25 |
31/mrt/2026 |
-5,07 |
-3,11 |
21,42 |
20,49 |
64,39 |
121,10 |
31/mrt/2026 |
16,54 |
-15,81 |
13,14 |
5,86 |
13,06 |
31/dec/2025 |
11/nov/2011 |
10.433.374,15 |
23,87 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0625451512 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,99 |
10,82 |
6,82 |
3,13 |
4,01 |
4,51 |
31/mrt/2026 |
10,82 |
-0,88 |
10,97 |
-9,84 |
6,15 |
31/mrt/2026 |
-4,99 |
-2,83 |
21,89 |
16,66 |
48,24 |
91,86 |
31/mrt/2026 |
15,61 |
-17,91 |
12,16 |
6,02 |
13,69 |
31/dec/2025 |
17/jun/2011 |
6.058.986,55 |
14,01 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0661504455 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-5,08 |
10,15 |
6,67 |
3,80 |
5,10 |
5,67 |
31/mrt/2026 |
10,15 |
-0,99 |
11,29 |
-7,45 |
7,24 |
31/mrt/2026 |
-5,08 |
-3,05 |
21,38 |
20,48 |
64,39 |
121,12 |
31/mrt/2026 |
16,57 |
-15,77 |
13,08 |
5,90 |
13,09 |
31/dec/2025 |
11/nov/2011 |
14.347.628,40 |
16,19 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0628613126 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-5,06 |
10,21 |
6,26 |
2,62 |
3,49 |
3,87 |
31/mrt/2026 |
10,21 |
-1,33 |
10,34 |
-10,19 |
5,59 |
31/mrt/2026 |
-5,06 |
-3,04 |
19,99 |
13,79 |
40,95 |
75,73 |
31/mrt/2026 |
15,08 |
-18,34 |
11,67 |
5,45 |
13,04 |
31/dec/2025 |
20/mei/2011 |
8.124.956,25 |
12,66 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0118256485 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,10 |
2,40 |
2,52 |
-1,05 |
0,84 |
2,69 |
31/mrt/2026 |
2,40 |
2,71 |
2,44 |
-6,56 |
-5,78 |
31/mrt/2026 |
-1,10 |
-0,37 |
7,75 |
-5,13 |
8,76 |
96,89 |
31/mrt/2026 |
-2,98 |
-14,04 |
5,85 |
1,52 |
4,01 |
31/dec/2025 |
02/okt/2000 |
908.313,00 |
19,41 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0540001038 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,01 |
2,71 |
2,87 |
-0,71 |
1,19 |
2,16 |
31/mrt/2026 |
2,71 |
3,13 |
2,77 |
-6,22 |
-5,49 |
31/mrt/2026 |
-1,01 |
-0,19 |
8,86 |
-3,51 |
12,55 |
39,35 |
31/mrt/2026 |
-2,62 |
-13,75 |
6,22 |
1,86 |
4,36 |
31/dec/2025 |
10/sep/2010 |
21.880.115,51 |
32,28 |
- |
812,75 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090845412 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,22 |
1,83 |
2,00 |
-1,55 |
0,33 |
2,23 |
31/mrt/2026 |
1,83 |
2,26 |
1,91 |
-7,02 |
-6,27 |
31/mrt/2026 |
-1,22 |
-0,63 |
6,12 |
-7,52 |
3,37 |
83,88 |
31/mrt/2026 |
-3,43 |
-14,48 |
5,33 |
1,01 |
3,44 |
31/dec/2025 |
01/sep/1998 |
14.203.078,82 |
26,76 |
- |
812,75 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0297942863 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,57 |
0,13 |
0,49 |
-2,93 |
-1,19 |
- |
31/mrt/2026 |
0,13 |
1,00 |
0,35 |
-9,06 |
-6,61 |
31/mrt/2026 |
-1,57 |
-1,36 |
1,49 |
-13,81 |
-11,27 |
- |
31/mrt/2026 |
-3,74 |
-16,04 |
3,43 |
-0,17 |
1,77 |
31/dec/2025 |
30/jun/1987 |
89.193.967,62 |
23,24 |
- |
812,75 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0329591563 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,51 |
0,44 |
0,85 |
-2,60 |
-0,85 |
1,37 |
31/mrt/2026 |
0,44 |
1,39 |
0,70 |
-8,78 |
-6,28 |
31/mrt/2026 |
-1,51 |
-1,23 |
2,56 |
-12,32 |
-8,17 |
28,44 |
31/mrt/2026 |
-3,39 |
-15,75 |
3,79 |
0,20 |
2,11 |
31/dec/2025 |
12/nov/2007 |
133.703.064,35 |
24,87 |
- |
812,75 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0297944059 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,70 |
-0,39 |
0,00 |
-3,42 |
-1,68 |
1,18 |
31/mrt/2026 |
-0,39 |
0,54 |
-0,15 |
-9,55 |
-7,09 |
31/mrt/2026 |
-1,70 |
-1,65 |
0,00 |
-15,95 |
-15,61 |
38,25 |
31/mrt/2026 |
-4,26 |
-16,44 |
2,91 |
-0,68 |
1,28 |
31/dec/2025 |
01/sep/1998 |
85.365.132,49 |
20,29 |
- |
812,75 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171285157 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,40 |
5,38 |
7,40 |
2,30 |
4,38 |
4,17 |
31/mrt/2026 |
5,38 |
6,34 |
10,56 |
-6,21 |
-3,56 |
31/mrt/2026 |
-1,40 |
-0,17 |
23,90 |
12,07 |
53,50 |
115,47 |
31/mrt/2026 |
1,70 |
-13,31 |
11,32 |
7,64 |
7,58 |
31/dec/2025 |
08/jun/2007 |
28.529.128,91 |
29,57 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0171284937 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,25 |
5,91 |
7,94 |
2,82 |
4,91 |
4,74 |
31/mrt/2026 |
5,91 |
6,90 |
11,08 |
-5,72 |
-3,09 |
31/mrt/2026 |
-1,25 |
0,09 |
25,77 |
14,91 |
61,42 |
139,11 |
31/mrt/2026 |
2,22 |
-12,87 |
11,89 |
8,19 |
8,08 |
31/dec/2025 |
08/jun/2007 |
215.306.134,81 |
33,83 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0172401969 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,18 |
5,94 |
7,94 |
2,84 |
4,91 |
4,68 |
31/mrt/2026 |
5,94 |
6,90 |
11,06 |
-5,68 |
-3,05 |
31/mrt/2026 |
-1,18 |
0,17 |
25,77 |
15,02 |
61,57 |
136,39 |
31/mrt/2026 |
2,19 |
-12,83 |
11,80 |
8,25 |
8,02 |
31/dec/2025 |
08/jun/2007 |
45.546.340,50 |
7,60 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0567554463 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,24 |
5,60 |
7,54 |
2,21 |
3,76 |
4,05 |
31/mrt/2026 |
5,60 |
6,68 |
10,40 |
-7,31 |
-3,26 |
31/mrt/2026 |
-1,24 |
0,04 |
24,37 |
11,53 |
44,67 |
83,58 |
31/mrt/2026 |
1,96 |
-14,12 |
11,00 |
7,84 |
7,80 |
31/dec/2025 |
14/dec/2010 |
14.788.911,46 |
22,71 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0172401704 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,70 |
3,67 |
5,85 |
0,78 |
2,67 |
3,71 |
31/mrt/2026 |
3,67 |
4,94 |
9,02 |
-8,62 |
-4,09 |
31/mrt/2026 |
-1,70 |
-0,81 |
18,60 |
3,94 |
30,14 |
126,61 |
31/mrt/2026 |
1,32 |
-15,24 |
9,19 |
6,56 |
5,75 |
31/dec/2025 |
01/sep/2003 |
26.530.022,07 |
4,27 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0372548783 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,09 |
6,32 |
8,29 |
2,92 |
4,48 |
5,22 |
31/mrt/2026 |
6,32 |
7,44 |
11,17 |
-6,66 |
-2,59 |
31/mrt/2026 |
-1,09 |
0,41 |
26,99 |
15,47 |
54,95 |
145,60 |
31/mrt/2026 |
2,69 |
-13,49 |
11,67 |
8,65 |
8,57 |
31/dec/2025 |
08/aug/2008 |
1.435.497,84 |
25,08 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0011850046 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,68 |
4,04 |
6,14 |
2,84 |
9,40 |
7,87 |
31/mrt/2026 |
4,04 |
-1,08 |
16,19 |
-9,66 |
6,45 |
31/mrt/2026 |
-9,68 |
-7,71 |
19,59 |
15,01 |
145,53 |
877,73 |
31/mrt/2026 |
19,62 |
-18,88 |
13,30 |
11,45 |
8,52 |
31/dec/2025 |
29/feb/1996 |
178.313.937,86 |
105,90 |
- |
586,05 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171288334 |
BGF Systematic Global SmallCap Fund |
BlackRock (Luxembourg) S.A. |
2,84 |
20,43 |
11,77 |
7,59 |
9,17 |
8,81 |
31/mrt/2026 |
20,43 |
-0,86 |
16,96 |
-5,99 |
9,83 |
31/mrt/2026 |
2,84 |
5,24 |
39,64 |
44,19 |
140,51 |
588,86 |
31/mrt/2026 |
27,57 |
-10,90 |
13,35 |
14,42 |
7,76 |
31/dec/2025 |
19/mei/2003 |
100.917.699,40 |
179,63 |
- |
610,02 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0054578231 |
BGF Systematic Global SmallCap Fund |
BlackRock (Luxembourg) S.A. |
1,11 |
28,46 |
13,91 |
7,21 |
9,29 |
9,96 |
31/mrt/2026 |
28,46 |
-0,76 |
15,94 |
-7,64 |
3,77 |
31/mrt/2026 |
1,11 |
3,45 |
47,80 |
41,66 |
143,20 |
1.874,34 |
31/mrt/2026 |
17,94 |
-16,02 |
17,38 |
7,25 |
21,81 |
31/dec/2025 |
04/nov/1994 |
203.543.157,79 |
210,01 |
- |
610,02 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0376433602 |
BGF Systematic Global SmallCap Fund |
BlackRock (Luxembourg) S.A. |
3,03 |
21,33 |
12,61 |
8,40 |
10,00 |
9,56 |
31/mrt/2026 |
21,33 |
-0,11 |
17,83 |
-5,27 |
10,66 |
31/mrt/2026 |
3,03 |
5,63 |
42,81 |
49,69 |
159,27 |
402,61 |
31/mrt/2026 |
28,53 |
-10,22 |
14,19 |
15,29 |
8,58 |
31/dec/2025 |
28/jul/2008 |
23.620.537,27 |
205,24 |
- |
610,02 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0724617971 |
BGF Systematic Global SmallCap Fund |
BlackRock (Luxembourg) S.A. |
1,30 |
29,43 |
14,77 |
- |
- |
6,80 |
31/mrt/2026 |
29,43 |
-0,01 |
16,81 |
-6,94 |
- |
31/mrt/2026 |
1,30 |
3,84 |
51,17 |
- |
- |
37,03 |
31/mrt/2026 |
- |
-15,39 |
18,27 |
8,06 |
22,73 |
31/dec/2025 |
16/jun/2021 |
6.166.087,76 |
239,96 |
- |
610,02 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171288508 |
BGF Systematic Global SmallCap Fund |
BlackRock (Luxembourg) S.A. |
2,71 |
19,82 |
11,21 |
7,06 |
8,63 |
8,22 |
31/mrt/2026 |
19,82 |
-1,35 |
16,37 |
-6,45 |
9,28 |
31/mrt/2026 |
2,71 |
4,97 |
37,55 |
40,63 |
128,78 |
508,82 |
31/mrt/2026 |
26,93 |
-11,34 |
12,78 |
13,84 |
7,23 |
31/dec/2025 |
19/mei/2003 |
70.645.686,27 |
159,68 |
- |
610,02 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0248272758 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-16,75 |
-13,46 |
1,43 |
0,62 |
5,20 |
4,67 |
31/mrt/2026 |
-13,46 |
-1,34 |
22,22 |
-11,71 |
11,97 |
31/mrt/2026 |
-16,75 |
-13,53 |
4,35 |
3,16 |
66,01 |
148,19 |
31/mrt/2026 |
25,58 |
-14,84 |
17,00 |
7,58 |
-2,87 |
31/dec/2025 |
28/apr/2006 |
129.094.853,27 |
48,74 |
- |
360,41 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0724618193 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-16,60 |
-12,80 |
2,19 |
1,38 |
5,99 |
7,65 |
31/mrt/2026 |
-12,80 |
-0,60 |
23,11 |
-11,05 |
12,81 |
31/mrt/2026 |
-16,60 |
-13,21 |
6,71 |
7,08 |
78,90 |
186,00 |
31/mrt/2026 |
26,50 |
-14,21 |
17,88 |
8,39 |
-2,14 |
31/dec/2025 |
30/dec/2011 |
5.184.947,41 |
56,30 |
- |
360,41 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0255399742 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,01 |
40,22 |
26,11 |
12,65 |
10,81 |
4,08 |
31/mrt/2026 |
40,22 |
3,04 |
38,81 |
-2,60 |
-7,12 |
31/mrt/2026 |
3,01 |
11,23 |
100,55 |
81,42 |
179,02 |
121,18 |
31/mrt/2026 |
11,43 |
-11,46 |
21,28 |
24,33 |
31,10 |
31/dec/2025 |
29/mei/2006 |
5.716.895,79 |
110,89 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171289068 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,12 |
22,36 |
14,21 |
4,21 |
6,94 |
4,66 |
31/mrt/2026 |
22,36 |
2,19 |
19,13 |
-9,49 |
-8,85 |
31/mrt/2026 |
3,12 |
4,76 |
48,97 |
22,89 |
95,58 |
199,61 |
31/mrt/2026 |
9,89 |
-17,57 |
6,69 |
15,85 |
15,46 |
31/dec/2025 |
18/feb/2002 |
10.242.017,23 |
92,20 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU0249411835 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
2,82 |
38,71 |
23,55 |
11,64 |
10,86 |
6,39 |
31/mrt/2026 |
38,71 |
1,25 |
34,29 |
-2,70 |
-5,49 |
31/mrt/2026 |
2,82 |
10,78 |
88,61 |
73,45 |
180,32 |
1.011,49 |
31/mrt/2026 |
12,71 |
-10,41 |
17,76 |
21,96 |
29,10 |
31/dec/2025 |
13/mei/1987 |
16.008.971.855,00 |
16.913,00 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0204063480 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
2,76 |
27,28 |
13,78 |
4,64 |
7,92 |
6,67 |
31/mrt/2026 |
27,28 |
-0,03 |
15,76 |
-5,76 |
-9,61 |
31/mrt/2026 |
2,76 |
4,40 |
47,31 |
25,48 |
114,22 |
1.133,22 |
31/mrt/2026 |
1,83 |
-13,45 |
4,87 |
10,56 |
21,46 |
31/dec/2025 |
13/mei/1987 |
371.239,33 |
78,82 |
- |
61.283,99 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU0496417709 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,02 |
39,76 |
24,49 |
12,49 |
11,69 |
11,30 |
31/mrt/2026 |
39,76 |
2,03 |
35,29 |
-1,96 |
-4,77 |
31/mrt/2026 |
3,02 |
11,19 |
92,91 |
80,11 |
202,20 |
456,00 |
31/mrt/2026 |
13,56 |
-9,73 |
18,65 |
22,87 |
30,07 |
31/dec/2025 |
22/mrt/2010 |
1.731.708.970,33 |
19.418,00 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171289225 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,00 |
21,75 |
13,64 |
3,69 |
6,41 |
1,54 |
31/mrt/2026 |
21,75 |
1,69 |
18,54 |
-9,94 |
-9,31 |
31/mrt/2026 |
3,00 |
4,51 |
46,76 |
19,86 |
86,05 |
47,43 |
31/mrt/2026 |
9,35 |
-17,98 |
6,15 |
15,28 |
14,87 |
31/dec/2025 |
27/okt/2000 |
3.940.708,64 |
80,46 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU0249422956 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
2,69 |
38,02 |
22,94 |
11,09 |
10,31 |
5,87 |
31/mrt/2026 |
38,02 |
0,75 |
33,62 |
-3,17 |
-5,96 |
31/mrt/2026 |
2,69 |
10,50 |
85,81 |
69,19 |
166,66 |
817,39 |
31/mrt/2026 |
12,14 |
-10,85 |
17,18 |
21,36 |
28,45 |
31/dec/2025 |
29/mei/2006 |
304.434.893,87 |
14.760,00 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090841692 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,79 |
29,88 |
15,81 |
3,32 |
6,52 |
7,25 |
31/mrt/2026 |
29,88 |
1,78 |
17,51 |
-11,54 |
-14,31 |
31/mrt/2026 |
0,79 |
2,73 |
55,33 |
17,75 |
88,10 |
589,60 |
31/mrt/2026 |
1,17 |
-23,10 |
10,77 |
8,25 |
29,82 |
31/dec/2025 |
01/sep/1998 |
3.551.458,99 |
94,07 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU0249410860 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,64 |
28,52 |
22,33 |
13,19 |
12,19 |
6,21 |
31/mrt/2026 |
28,52 |
-2,60 |
46,25 |
4,00 |
-2,40 |
31/mrt/2026 |
1,64 |
10,62 |
83,07 |
85,82 |
215,93 |
255,95 |
31/mrt/2026 |
11,00 |
-8,05 |
29,99 |
26,38 |
17,90 |
31/dec/2025 |
28/feb/2005 |
14.456.006.399,52 |
3.893,00 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0212924517 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-0,26 |
20,90 |
15,24 |
5,27 |
8,34 |
4,09 |
31/mrt/2026 |
20,90 |
-1,58 |
28,63 |
-4,99 |
-11,09 |
31/mrt/2026 |
-0,26 |
2,82 |
53,05 |
29,28 |
122,85 |
133,10 |
31/mrt/2026 |
0,11 |
-20,67 |
22,81 |
12,77 |
19,17 |
31/dec/2025 |
28/feb/2005 |
48.125.720,10 |
24,81 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0212925324 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,78 |
12,77 |
12,53 |
5,12 |
7,68 |
4,29 |
31/mrt/2026 |
12,77 |
-2,17 |
29,15 |
-3,75 |
-6,39 |
31/mrt/2026 |
1,78 |
4,34 |
42,48 |
28,37 |
109,63 |
142,44 |
31/mrt/2026 |
7,64 |
-15,84 |
17,18 |
19,55 |
4,91 |
31/dec/2025 |
28/feb/2005 |
11.153.172,89 |
19,18 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU0249411165 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,51 |
27,87 |
21,74 |
12,64 |
11,63 |
5,70 |
31/mrt/2026 |
27,87 |
-3,07 |
45,56 |
3,45 |
-2,86 |
31/mrt/2026 |
1,51 |
10,37 |
80,42 |
81,30 |
200,54 |
221,88 |
31/mrt/2026 |
10,39 |
-8,51 |
29,35 |
25,82 |
17,29 |
31/dec/2025 |
28/feb/2005 |
3.373.841.771,97 |
3.519,00 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0212924947 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-0,38 |
20,32 |
14,67 |
4,76 |
7,81 |
3,60 |
31/mrt/2026 |
20,32 |
-2,07 |
27,97 |
-5,48 |
-11,49 |
31/mrt/2026 |
-0,38 |
2,58 |
50,79 |
26,15 |
112,07 |
110,80 |
31/mrt/2026 |
-0,42 |
-21,06 |
22,29 |
12,19 |
18,54 |
31/dec/2025 |
28/feb/2005 |
2.902.673,96 |
22,43 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0277197835 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,59 |
29,20 |
23,98 |
13,42 |
11,45 |
3,84 |
31/mrt/2026 |
29,20 |
-1,81 |
50,23 |
3,37 |
-4,72 |
31/mrt/2026 |
1,59 |
10,67 |
90,59 |
87,70 |
195,79 |
107,28 |
31/mrt/2026 |
9,32 |
-10,02 |
33,11 |
27,73 |
19,07 |
31/dec/2025 |
01/dec/2006 |
35.123.771,61 |
22,11 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171289498 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
12,17 |
32,89 |
10,44 |
7,62 |
4,92 |
7,64 |
31/mrt/2026 |
32,89 |
-20,06 |
26,79 |
-10,74 |
20,06 |
31/mrt/2026 |
12,17 |
13,79 |
34,70 |
44,35 |
61,69 |
474,24 |
31/mrt/2026 |
-8,64 |
13,78 |
31,67 |
-29,61 |
29,25 |
31/dec/2025 |
01/jul/2002 |
111.794.434,38 |
72,31 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0408221785 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
12,17 |
32,89 |
10,44 |
7,62 |
4,92 |
5,34 |
31/mrt/2026 |
32,89 |
-20,05 |
26,78 |
-10,73 |
20,06 |
31/mrt/2026 |
12,17 |
13,80 |
34,69 |
44,36 |
61,70 |
144,66 |
31/mrt/2026 |
-8,65 |
13,80 |
31,67 |
-29,61 |
29,25 |
31/dec/2025 |
19/jan/2009 |
1.319.363,16 |
57,18 |
- |
704,17 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0204063647 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
11,69 |
38,24 |
10,03 |
8,07 |
5,88 |
7,23 |
31/mrt/2026 |
38,24 |
-21,82 |
23,24 |
-7,06 |
19,08 |
31/mrt/2026 |
11,69 |
13,41 |
33,20 |
47,41 |
77,14 |
339,17 |
31/mrt/2026 |
-14,63 |
19,98 |
29,34 |
-32,93 |
36,26 |
31/dec/2025 |
18/jan/2005 |
497.866,06 |
48,68 |
- |
704,17 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0252970081 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
10,48 |
42,83 |
13,40 |
8,04 |
5,83 |
3,43 |
31/mrt/2026 |
42,83 |
-19,37 |
26,63 |
-11,64 |
14,27 |
31/mrt/2026 |
10,48 |
12,28 |
45,82 |
47,23 |
76,21 |
95,55 |
31/mrt/2026 |
-14,91 |
8,05 |
37,38 |
-33,52 |
47,20 |
31/dec/2025 |
19/mei/2006 |
10.023.823,86 |
97,82 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0147409709 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
10,15 |
41,06 |
11,99 |
6,70 |
4,51 |
7,78 |
31/mrt/2026 |
41,06 |
-20,39 |
25,08 |
-12,75 |
12,87 |
31/mrt/2026 |
10,15 |
11,58 |
40,45 |
38,33 |
55,50 |
492,95 |
31/mrt/2026 |
-15,95 |
6,71 |
35,67 |
-34,35 |
45,37 |
31/dec/2025 |
01/jul/2002 |
5.380.039,44 |
75,07 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0521028802 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
8,83 |
34,79 |
7,49 |
3,21 |
1,71 |
-3,24 |
31/mrt/2026 |
34,79 |
-23,06 |
19,76 |
-15,50 |
11,60 |
31/mrt/2026 |
8,83 |
9,03 |
24,19 |
17,11 |
18,46 |
-38,40 |
31/mrt/2026 |
-16,84 |
4,01 |
30,02 |
-36,82 |
39,75 |
31/dec/2025 |
12/jul/2011 |
101.750,37 |
6,16 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0480534832 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,58 |
40,19 |
11,97 |
6,96 |
4,08 |
0,18 |
31/mrt/2026 |
40,19 |
-20,04 |
25,24 |
-11,04 |
12,11 |
31/mrt/2026 |
9,58 |
11,24 |
40,38 |
40,00 |
49,13 |
2,90 |
31/mrt/2026 |
-16,48 |
8,28 |
36,30 |
-34,08 |
45,36 |
31/dec/2025 |
25/feb/2010 |
5.639.405,84 |
10,31 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0572108347 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,33 |
36,97 |
9,68 |
5,27 |
3,46 |
-2,19 |
31/mrt/2026 |
36,97 |
-21,85 |
23,25 |
-13,14 |
12,84 |
31/mrt/2026 |
9,33 |
10,00 |
31,92 |
29,30 |
40,48 |
-28,50 |
31/mrt/2026 |
-15,91 |
6,57 |
33,83 |
-35,47 |
41,56 |
31/dec/2025 |
28/jan/2011 |
3.329.659,50 |
7,15 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0622213642 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,12 |
9,44 |
4,39 |
0,58 |
-0,01 |
-1,68 |
31/mrt/2026 |
9,44 |
-1,25 |
5,27 |
0,00 |
-9,54 |
31/mrt/2026 |
-3,12 |
-0,26 |
13,76 |
2,91 |
-0,13 |
-22,30 |
31/mrt/2026 |
-8,75 |
-11,62 |
12,84 |
-7,45 |
17,42 |
31/dec/2025 |
05/mei/2011 |
27.935.583,56 |
7,97 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0278461065 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,95 |
4,71 |
4,33 |
2,88 |
1,84 |
1,57 |
31/mrt/2026 |
4,71 |
0,21 |
8,24 |
4,60 |
-2,97 |
31/mrt/2026 |
-0,95 |
2,70 |
13,57 |
15,26 |
20,04 |
34,67 |
31/mrt/2026 |
-0,48 |
-3,80 |
11,67 |
0,05 |
6,04 |
31/dec/2025 |
02/feb/2007 |
150.602,26 |
2,64 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0278457204 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
4,70 |
4,29 |
2,86 |
1,84 |
1,67 |
31/mrt/2026 |
4,70 |
0,18 |
8,14 |
4,77 |
-3,10 |
31/mrt/2026 |
-0,97 |
2,41 |
13,43 |
15,16 |
20,00 |
37,33 |
31/mrt/2026 |
-0,77 |
-3,52 |
11,51 |
0,09 |
5,92 |
31/dec/2025 |
02/feb/2007 |
10.427.276,95 |
23,73 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0278470058 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,63 |
11,67 |
6,27 |
2,49 |
1,96 |
1,07 |
31/mrt/2026 |
11,67 |
0,29 |
7,16 |
2,93 |
-8,47 |
31/mrt/2026 |
-2,63 |
0,63 |
20,02 |
13,08 |
21,37 |
22,69 |
31/mrt/2026 |
-8,24 |
-9,06 |
15,49 |
-6,24 |
19,75 |
31/dec/2025 |
02/feb/2007 |
152.888.948,44 |
27,74 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0278457469 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,94 |
4,71 |
4,22 |
2,83 |
1,84 |
1,32 |
31/mrt/2026 |
4,71 |
0,26 |
7,84 |
4,97 |
-3,24 |
31/mrt/2026 |
-0,94 |
2,32 |
13,21 |
14,98 |
19,96 |
28,57 |
31/mrt/2026 |
-0,76 |
-3,40 |
11,61 |
-0,23 |
6,02 |
31/dec/2025 |
02/feb/2007 |
590.494,61 |
2,65 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0388349754 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,93 |
12,54 |
6,24 |
2,66 |
2,07 |
0,23 |
31/mrt/2026 |
12,54 |
-0,30 |
6,87 |
3,16 |
-7,81 |
31/mrt/2026 |
-1,93 |
1,40 |
19,91 |
14,04 |
22,70 |
4,14 |
31/mrt/2026 |
-7,72 |
-9,08 |
15,76 |
-6,82 |
20,00 |
31/dec/2025 |
22/sep/2008 |
88.442.845,87 |
24,30 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0278470132 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,79 |
11,52 |
6,22 |
2,47 |
1,94 |
0,70 |
31/mrt/2026 |
11,52 |
0,41 |
7,03 |
3,00 |
-8,48 |
31/mrt/2026 |
-2,79 |
0,50 |
19,86 |
12,98 |
21,19 |
14,39 |
31/mrt/2026 |
-8,09 |
-9,14 |
15,56 |
-6,17 |
19,66 |
31/dec/2025 |
02/feb/2007 |
8.941.473,12 |
3,10 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0478974834 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,91 |
4,68 |
4,29 |
2,86 |
1,85 |
1,56 |
31/mrt/2026 |
4,68 |
0,23 |
8,12 |
4,85 |
-3,18 |
31/mrt/2026 |
-0,91 |
2,46 |
13,43 |
15,15 |
20,08 |
28,42 |
31/mrt/2026 |
-0,70 |
-3,53 |
11,52 |
0,04 |
5,93 |
31/dec/2025 |
18/jan/2010 |
109.636,91 |
11,00 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0548402170 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,57 |
11,71 |
6,30 |
2,50 |
1,96 |
-0,14 |
31/mrt/2026 |
11,71 |
0,26 |
7,25 |
2,92 |
-8,49 |
31/mrt/2026 |
-2,57 |
0,64 |
20,13 |
13,14 |
21,37 |
-2,13 |
31/mrt/2026 |
-8,22 |
-9,05 |
15,50 |
-6,22 |
19,66 |
31/dec/2025 |
14/okt/2010 |
240.478,56 |
12,86 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0329592702 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,85 |
5,17 |
4,81 |
3,37 |
2,35 |
2,29 |
31/mrt/2026 |
5,17 |
0,74 |
8,66 |
5,29 |
-2,62 |
31/mrt/2026 |
-0,85 |
2,64 |
15,13 |
18,04 |
26,17 |
51,60 |
31/mrt/2026 |
-0,22 |
-3,01 |
12,05 |
0,54 |
6,46 |
31/dec/2025 |
12/nov/2007 |
17.374.939,31 |
26,03 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0523291242 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,53 |
12,20 |
6,80 |
3,00 |
2,46 |
0,70 |
31/mrt/2026 |
12,20 |
0,81 |
7,71 |
3,43 |
-8,00 |
31/mrt/2026 |
-2,53 |
0,85 |
21,83 |
15,93 |
27,52 |
11,57 |
31/mrt/2026 |
-7,79 |
-8,52 |
16,00 |
-5,76 |
20,32 |
31/dec/2025 |
09/aug/2010 |
1.700.481,32 |
12,83 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0278459671 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,07 |
4,16 |
3,76 |
2,34 |
1,33 |
1,16 |
31/mrt/2026 |
4,16 |
-0,29 |
7,57 |
4,27 |
-3,64 |
31/mrt/2026 |
-1,07 |
2,11 |
11,72 |
12,25 |
14,18 |
24,76 |
31/mrt/2026 |
-1,23 |
-4,00 |
11,00 |
-0,49 |
5,39 |
31/dec/2025 |
02/feb/2007 |
7.616.215,97 |
21,55 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0374975414 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,74 |
11,10 |
5,76 |
1,98 |
1,45 |
-0,53 |
31/mrt/2026 |
11,10 |
-0,18 |
6,66 |
2,42 |
-8,95 |
31/mrt/2026 |
-2,74 |
0,41 |
18,28 |
10,30 |
15,44 |
-9,02 |
31/mrt/2026 |
-8,71 |
-9,49 |
14,89 |
-6,70 |
19,14 |
31/dec/2025 |
15/jul/2008 |
865.627,95 |
25,20 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0480535052 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,88 |
11,55 |
6,34 |
2,90 |
1,63 |
0,66 |
31/mrt/2026 |
11,55 |
0,50 |
7,25 |
5,48 |
-9,03 |
31/mrt/2026 |
-2,88 |
0,45 |
20,24 |
15,37 |
17,57 |
11,10 |
31/mrt/2026 |
-8,88 |
-7,10 |
15,85 |
-6,20 |
20,04 |
31/dec/2025 |
08/mrt/2010 |
8.392.471,18 |
11,42 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU0575500318 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,72 |
10,66 |
4,96 |
1,18 |
0,94 |
0,02 |
31/mrt/2026 |
10,66 |
-0,74 |
5,27 |
0,65 |
-8,91 |
31/mrt/2026 |
-2,72 |
0,44 |
15,64 |
6,03 |
9,76 |
0,34 |
31/mrt/2026 |
-8,59 |
-10,64 |
13,00 |
-7,42 |
18,72 |
31/dec/2025 |
04/mrt/2011 |
87.051,49 |
4,75 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0474536231 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,27 |
8,28 |
3,41 |
-0,41 |
-1,01 |
-1,93 |
31/mrt/2026 |
8,28 |
-2,18 |
4,39 |
-1,13 |
-10,37 |
31/mrt/2026 |
-3,27 |
-0,73 |
10,57 |
-2,02 |
-9,69 |
-27,19 |
31/mrt/2026 |
-9,76 |
-12,44 |
11,84 |
-8,47 |
16,20 |
31/dec/2025 |
18/dec/2009 |
2.927.757,60 |
6,97 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0623004180 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,74 |
6,52 |
1,54 |
-1,32 |
-1,34 |
-2,66 |
31/mrt/2026 |
6,52 |
-4,12 |
2,50 |
-0,93 |
-9,78 |
31/mrt/2026 |
-3,74 |
-1,76 |
4,69 |
-6,42 |
-12,65 |
-33,00 |
31/mrt/2026 |
-9,60 |
-11,62 |
10,06 |
-10,18 |
14,29 |
31/dec/2025 |
17/mei/2011 |
649.998,93 |
6,87 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0408221868 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
8,62 |
45,94 |
7,52 |
6,18 |
11,07 |
7,67 |
31/mrt/2026 |
45,94 |
-14,60 |
-0,26 |
2,96 |
5,46 |
31/mrt/2026 |
8,62 |
16,39 |
24,30 |
34,96 |
185,67 |
256,74 |
31/mrt/2026 |
25,13 |
-13,37 |
8,89 |
-2,94 |
17,90 |
31/dec/2025 |
19/jan/2009 |
90.655.763,00 |
20,89 |
- |
5.086,07 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0724618433 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,80 |
55,70 |
9,58 |
- |
- |
4,99 |
31/mrt/2026 |
55,70 |
-14,52 |
-1,14 |
1,15 |
- |
31/mrt/2026 |
6,80 |
14,40 |
31,58 |
- |
- |
25,93 |
31/mrt/2026 |
- |
-18,32 |
12,74 |
-9,01 |
33,25 |
31/dec/2025 |
07/jul/2021 |
218.098,10 |
24,49 |
- |
5.086,07 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0252964944 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
8,83 |
47,08 |
8,34 |
6,99 |
11,91 |
5,54 |
31/mrt/2026 |
47,08 |
-13,94 |
0,45 |
3,76 |
6,25 |
31/mrt/2026 |
8,83 |
16,82 |
27,15 |
40,19 |
208,10 |
192,06 |
31/mrt/2026 |
26,14 |
-12,74 |
9,71 |
-2,20 |
18,79 |
31/dec/2025 |
19/mei/2006 |
174.585.321,91 |
24,63 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0252969661 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,95 |
56,82 |
10,40 |
6,61 |
12,04 |
5,00 |
31/mrt/2026 |
56,82 |
-13,85 |
-0,42 |
1,91 |
0,43 |
31/mrt/2026 |
6,95 |
14,83 |
34,55 |
37,70 |
211,57 |
163,61 |
31/mrt/2026 |
16,53 |
-17,71 |
13,59 |
-8,30 |
34,26 |
31/dec/2025 |
19/mei/2006 |
192.585.602,12 |
28,80 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0435534705 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
8,41 |
53,08 |
7,93 |
7,44 |
12,94 |
8,38 |
31/mrt/2026 |
53,08 |
-15,86 |
-2,39 |
8,08 |
5,36 |
31/mrt/2026 |
8,41 |
16,44 |
25,72 |
43,16 |
237,78 |
285,26 |
31/mrt/2026 |
17,84 |
-7,97 |
7,79 |
-6,77 |
25,16 |
31/dec/2025 |
25/jun/2009 |
107.282.201,95 |
19,42 |
- |
5.086,07 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0124386052 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,63 |
54,90 |
9,03 |
5,28 |
10,65 |
2,73 |
31/mrt/2026 |
54,90 |
-14,92 |
-1,65 |
0,67 |
-0,86 |
31/mrt/2026 |
6,63 |
14,14 |
29,61 |
29,35 |
175,04 |
96,10 |
31/mrt/2026 |
15,15 |
-18,75 |
12,23 |
-9,46 |
32,59 |
31/dec/2025 |
06/apr/2001 |
130.571.074,83 |
21,82 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0297947409 |
BGF US Dollar Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,73 |
3,35 |
3,96 |
2,56 |
1,05 |
1,64 |
31/mrt/2026 |
3,35 |
4,26 |
4,26 |
1,47 |
-0,46 |
31/mrt/2026 |
0,73 |
1,58 |
12,35 |
13,47 |
11,00 |
56,79 |
31/mrt/2026 |
-0,48 |
0,59 |
3,95 |
4,40 |
3,56 |
31/dec/2025 |
01/sep/1998 |
9.520.132,07 |
203,68 |
- |
581,35 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0592702228 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
0,07 |
4,28 |
4,74 |
2,07 |
2,24 |
2,12 |
31/mrt/2026 |
4,28 |
5,62 |
4,32 |
-0,03 |
-3,57 |
31/mrt/2026 |
0,07 |
1,34 |
14,90 |
10,76 |
24,79 |
36,79 |
31/mrt/2026 |
-0,38 |
-4,69 |
5,34 |
4,84 |
5,71 |
31/dec/2025 |
19/apr/2011 |
86.474.182,83 |
9,36 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0200685070 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,19 |
28,64 |
14,48 |
7,52 |
9,91 |
6,70 |
31/mrt/2026 |
28,64 |
-5,03 |
22,81 |
-11,84 |
8,62 |
31/mrt/2026 |
-6,19 |
-0,84 |
50,04 |
43,68 |
157,37 |
303,30 |
31/mrt/2026 |
22,30 |
-18,52 |
18,63 |
12,87 |
25,37 |
31/dec/2025 |
01/okt/2004 |
21.254.680,62 |
46,72 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0122376428 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,49 |
39,05 |
17,67 |
21,07 |
8,82 |
5,30 |
31/mrt/2026 |
39,05 |
-0,50 |
17,77 |
2,91 |
55,16 |
31/mrt/2026 |
36,49 |
38,20 |
62,94 |
160,17 |
132,82 |
263,20 |
31/mrt/2026 |
41,21 |
39,58 |
3,68 |
1,92 |
9,01 |
31/dec/2025 |
06/apr/2001 |
1.448.444.271,77 |
35,25 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0252969075 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,76 |
40,11 |
18,56 |
21,98 |
9,64 |
3,20 |
31/mrt/2026 |
40,11 |
0,23 |
18,67 |
3,68 |
56,27 |
31/mrt/2026 |
36,76 |
38,73 |
66,65 |
170,01 |
150,92 |
86,86 |
31/mrt/2026 |
42,18 |
40,67 |
4,42 |
2,70 |
9,81 |
31/dec/2025 |
19/mei/2006 |
102.052.531,14 |
41,02 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0589470672 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
35,19 |
33,13 |
13,13 |
17,15 |
5,85 |
-0,88 |
31/mrt/2026 |
33,13 |
-3,94 |
13,22 |
-0,33 |
52,90 |
31/mrt/2026 |
35,19 |
35,19 |
44,79 |
120,65 |
76,61 |
-12,40 |
31/mrt/2026 |
39,22 |
36,13 |
-0,47 |
-1,75 |
4,68 |
31/dec/2025 |
25/mrt/2011 |
3.717.099,44 |
8,47 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326422176 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
35,85 |
35,85 |
15,41 |
18,55 |
6,44 |
-0,79 |
31/mrt/2026 |
35,85 |
-1,85 |
15,30 |
-0,88 |
53,66 |
31/mrt/2026 |
35,85 |
36,93 |
53,74 |
134,15 |
86,61 |
-13,60 |
31/mrt/2026 |
39,10 |
35,25 |
1,19 |
0,17 |
6,89 |
31/dec/2025 |
30/nov/2007 |
76.249.476,88 |
8,38 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0368265418 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
35,57 |
34,59 |
15,09 |
19,23 |
7,39 |
-0,41 |
31/mrt/2026 |
34,59 |
-1,99 |
15,57 |
2,01 |
54,92 |
31/mrt/2026 |
35,57 |
36,16 |
52,46 |
140,93 |
103,95 |
-7,00 |
31/mrt/2026 |
40,62 |
38,95 |
1,73 |
0,15 |
6,03 |
31/dec/2025 |
08/jul/2008 |
124.849.505,82 |
9,01 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326422507 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
35,86 |
35,40 |
14,86 |
17,96 |
5,93 |
-1,29 |
31/mrt/2026 |
35,40 |
-2,51 |
14,81 |
-1,33 |
52,75 |
31/mrt/2026 |
35,86 |
36,57 |
51,54 |
128,41 |
77,88 |
-21,20 |
31/mrt/2026 |
38,36 |
34,65 |
0,55 |
-0,18 |
6,23 |
31/dec/2025 |
30/nov/2007 |
32.044.521,37 |
7,63 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171304719 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-11,55 |
17,46 |
26,59 |
12,73 |
14,11 |
6,52 |
31/mrt/2026 |
17,46 |
17,22 |
47,32 |
-11,01 |
0,84 |
31/mrt/2026 |
-11,55 |
-3,39 |
102,85 |
82,04 |
274,47 |
418,75 |
31/mrt/2026 |
25,58 |
-14,48 |
23,45 |
39,69 |
27,31 |
31/dec/2025 |
03/mrt/2000 |
216.983.442,46 |
63,11 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0106831901 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-13,03 |
25,32 |
29,01 |
12,33 |
14,24 |
7,59 |
31/mrt/2026 |
25,32 |
17,32 |
46,06 |
-12,58 |
-4,73 |
31/mrt/2026 |
-13,03 |
-5,02 |
114,74 |
78,85 |
278,63 |
573,20 |
31/mrt/2026 |
16,11 |
-19,39 |
27,86 |
30,94 |
43,91 |
31/dec/2025 |
03/mrt/2000 |
917.304.509,02 |
73,78 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0329593262 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-12,87 |
26,26 |
29,98 |
13,18 |
15,11 |
6,02 |
31/mrt/2026 |
26,26 |
18,20 |
47,15 |
-11,90 |
-4,01 |
31/mrt/2026 |
-12,87 |
-4,67 |
119,60 |
85,72 |
308,28 |
193,00 |
31/mrt/2026 |
16,97 |
-18,79 |
28,82 |
31,93 |
45,00 |
31/dec/2025 |
12/nov/2007 |
181.395.449,80 |
84,88 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0055631609 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
2,06 |
102,53 |
41,67 |
21,84 |
14,15 |
7,73 |
31/mrt/2026 |
102,53 |
46,63 |
-4,24 |
-12,86 |
8,35 |
31/mrt/2026 |
2,06 |
22,47 |
184,36 |
168,50 |
275,47 |
925,40 |
31/mrt/2026 |
-10,59 |
-17,00 |
6,46 |
13,58 |
159,48 |
31/dec/2025 |
30/dec/1994 |
6.507.118.859,93 |
102,41 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0724618789 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
2,06 |
102,53 |
41,68 |
21,84 |
14,14 |
4,42 |
31/mrt/2026 |
102,53 |
46,60 |
-4,22 |
-12,86 |
8,36 |
31/mrt/2026 |
2,06 |
22,46 |
184,38 |
168,52 |
275,39 |
85,15 |
31/mrt/2026 |
-10,59 |
-17,01 |
6,50 |
13,58 |
159,43 |
31/dec/2025 |
30/dec/2011 |
19.421.367,92 |
102,40 |
- |
11.254,06 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0252963623 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
3,99 |
91,29 |
40,06 |
23,20 |
14,88 |
6,77 |
31/mrt/2026 |
91,29 |
47,58 |
-2,68 |
-10,59 |
15,53 |
31/mrt/2026 |
3,99 |
25,03 |
174,73 |
183,78 |
300,19 |
267,48 |
31/mrt/2026 |
-2,57 |
-11,28 |
3,62 |
22,09 |
131,26 |
31/dec/2025 |
19/mei/2006 |
338.444.863,99 |
101,94 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090841262 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,93 |
101,51 |
40,97 |
21,23 |
13,58 |
11,87 |
31/mrt/2026 |
101,51 |
45,90 |
-4,72 |
-13,28 |
7,80 |
31/mrt/2026 |
1,93 |
22,15 |
180,12 |
161,86 |
257,15 |
2.107,14 |
31/mrt/2026 |
-11,03 |
-17,42 |
5,94 |
13,01 |
158,18 |
31/dec/2025 |
01/sep/1998 |
146.408.137,64 |
89,47 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0521028471 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
0,72 |
92,09 |
35,44 |
17,02 |
10,04 |
1,49 |
31/mrt/2026 |
92,09 |
41,29 |
-8,46 |
-16,86 |
6,26 |
31/mrt/2026 |
0,72 |
19,51 |
148,43 |
119,48 |
160,21 |
26,20 |
31/mrt/2026 |
-12,40 |
-19,93 |
0,87 |
9,52 |
147,63 |
31/dec/2025 |
19/jul/2010 |
24.636.318,05 |
12,59 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326422689 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,25 |
96,36 |
38,01 |
18,36 |
11,01 |
1,42 |
31/mrt/2026 |
96,36 |
44,10 |
-7,10 |
-17,14 |
6,63 |
31/mrt/2026 |
1,25 |
20,78 |
162,88 |
132,26 |
184,21 |
29,60 |
31/mrt/2026 |
-12,03 |
-20,32 |
2,71 |
11,43 |
152,46 |
31/dec/2025 |
30/nov/2007 |
274.544.004,71 |
12,92 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0368265764 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,15 |
95,90 |
38,16 |
19,39 |
12,35 |
2,60 |
31/mrt/2026 |
95,90 |
43,75 |
-6,35 |
-14,57 |
7,69 |
31/mrt/2026 |
1,15 |
20,47 |
163,71 |
142,62 |
220,53 |
57,70 |
31/mrt/2026 |
-11,16 |
-18,07 |
3,74 |
11,35 |
152,27 |
31/dec/2025 |
08/jul/2008 |
304.008.569,95 |
15,71 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0669555244 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
0,93 |
93,67 |
36,47 |
17,90 |
10,86 |
0,21 |
31/mrt/2026 |
93,67 |
42,55 |
-7,94 |
-16,31 |
7,12 |
31/mrt/2026 |
0,93 |
19,93 |
154,15 |
127,83 |
180,48 |
3,07 |
31/mrt/2026 |
-11,71 |
-19,26 |
1,40 |
10,47 |
149,55 |
31/dec/2025 |
05/sep/2011 |
12.182.566,43 |
14,05 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326423067 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,43 |
97,74 |
39,04 |
19,27 |
11,85 |
2,20 |
31/mrt/2026 |
97,74 |
45,09 |
-6,32 |
-16,57 |
7,62 |
31/mrt/2026 |
1,43 |
21,16 |
168,77 |
141,33 |
206,38 |
48,90 |
31/mrt/2026 |
-11,46 |
-19,58 |
3,42 |
12,26 |
154,42 |
31/dec/2025 |
30/nov/2007 |
53.546.652,38 |
14,85 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0329593007 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,03 |
3,83 |
5,19 |
4,55 |
9,14 |
9,16 |
31/mrt/2026 |
3,83 |
-1,40 |
13,69 |
-3,15 |
10,84 |
31/mrt/2026 |
-5,03 |
5,87 |
16,38 |
24,94 |
139,80 |
400,92 |
31/mrt/2026 |
15,05 |
-4,49 |
2,94 |
2,71 |
13,95 |
31/dec/2025 |
12/nov/2007 |
527.867.113,00 |
80,68 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0075056555 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
8,24 |
74,81 |
16,81 |
12,22 |
15,32 |
8,41 |
31/mrt/2026 |
74,81 |
-1,99 |
-6,96 |
-15,12 |
31,55 |
31/mrt/2026 |
8,24 |
26,03 |
59,40 |
77,98 |
316,01 |
942,21 |
31/mrt/2026 |
16,13 |
1,03 |
-0,41 |
-10,91 |
70,45 |
31/dec/2025 |
24/mrt/1997 |
4.176.009.333,06 |
107,82 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0408222593 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
10,09 |
63,88 |
14,62 |
12,62 |
15,19 |
7,96 |
31/mrt/2026 |
63,88 |
-2,10 |
-6,14 |
-13,60 |
39,27 |
31/mrt/2026 |
10,09 |
28,19 |
50,59 |
81,20 |
311,47 |
273,42 |
31/mrt/2026 |
25,59 |
7,20 |
-3,83 |
-4,95 |
50,80 |
31/dec/2025 |
19/jan/2009 |
76.845.249,71 |
82,01 |
- |
7.469,06 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0252963383 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
10,30 |
65,12 |
15,48 |
13,47 |
16,06 |
5,15 |
31/mrt/2026 |
65,12 |
-1,37 |
-5,45 |
-12,94 |
40,31 |
31/mrt/2026 |
10,30 |
28,68 |
53,99 |
88,11 |
343,53 |
171,28 |
31/mrt/2026 |
26,55 |
7,99 |
-3,10 |
-4,24 |
51,93 |
31/dec/2025 |
19/mei/2006 |
173.004.143,13 |
107,32 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0252968341 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
8,44 |
76,14 |
17,69 |
13,07 |
16,19 |
4,62 |
31/mrt/2026 |
76,14 |
-1,28 |
-6,26 |
-14,48 |
32,55 |
31/mrt/2026 |
8,44 |
26,49 |
63,00 |
84,78 |
348,28 |
145,03 |
31/mrt/2026 |
17,00 |
1,79 |
0,33 |
-10,24 |
71,73 |
31/dec/2025 |
19/mei/2006 |
120.237.642,37 |
125,47 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0090845842 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
8,11 |
73,95 |
16,23 |
11,66 |
14,75 |
11,01 |
31/mrt/2026 |
73,95 |
-2,50 |
-7,41 |
-15,55 |
30,89 |
31/mrt/2026 |
8,11 |
25,71 |
57,03 |
73,58 |
295,83 |
1.682,38 |
31/mrt/2026 |
15,53 |
0,53 |
-0,90 |
-11,37 |
69,62 |
31/dec/2025 |
01/sep/1998 |
134.592.257,37 |
94,42 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0521028554 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
6,74 |
65,93 |
11,71 |
7,91 |
11,46 |
0,75 |
31/mrt/2026 |
65,93 |
-5,57 |
-11,03 |
-18,89 |
29,39 |
31/mrt/2026 |
6,74 |
22,82 |
39,40 |
46,29 |
196,05 |
12,50 |
31/mrt/2026 |
14,11 |
-2,69 |
-5,03 |
-14,17 |
62,65 |
31/dec/2025 |
19/jul/2010 |
10.064.411,08 |
11,65 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0480534758 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,50 |
73,05 |
16,35 |
11,78 |
14,31 |
2,51 |
31/mrt/2026 |
73,05 |
-2,05 |
-7,08 |
-15,31 |
30,80 |
31/mrt/2026 |
7,50 |
25,10 |
57,51 |
74,47 |
281,07 |
49,00 |
31/mrt/2026 |
15,24 |
0,66 |
-0,54 |
-11,03 |
70,06 |
31/dec/2025 |
23/feb/2010 |
33.146.564,50 |
15,44 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0330918003 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,35 |
69,06 |
13,85 |
9,95 |
13,44 |
-1,36 |
31/mrt/2026 |
69,06 |
-4,02 |
-9,06 |
-16,93 |
31,12 |
31/mrt/2026 |
7,35 |
24,01 |
47,56 |
60,72 |
252,92 |
-22,15 |
31/mrt/2026 |
15,31 |
-0,53 |
-2,67 |
-12,80 |
65,41 |
31/dec/2025 |
27/nov/2007 |
86.992.517,61 |
8,76 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0612319946 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
16,96 |
38,86 |
9,97 |
10,36 |
7,78 |
2,13 |
31/mrt/2026 |
38,86 |
-2,19 |
-2,09 |
-10,69 |
37,86 |
31/mrt/2026 |
16,96 |
24,52 |
32,99 |
63,73 |
111,52 |
36,83 |
31/mrt/2026 |
27,10 |
12,27 |
-5,04 |
-7,04 |
25,16 |
31/dec/2025 |
20/mei/2011 |
7.665.682,62 |
8,17 |
- |
421,31 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0654597011 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
17,85 |
43,52 |
13,03 |
13,62 |
10,89 |
4,65 |
31/mrt/2026 |
43,52 |
0,05 |
0,55 |
-6,38 |
40,07 |
31/mrt/2026 |
17,85 |
26,46 |
44,39 |
89,35 |
181,12 |
94,59 |
31/mrt/2026 |
29,35 |
16,77 |
-1,98 |
-4,92 |
29,03 |
31/dec/2025 |
02/aug/2011 |
2.472.999,38 |
11,76 |
- |
421,31 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0612318971 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
17,87 |
43,31 |
13,00 |
13,59 |
10,89 |
4,22 |
31/mrt/2026 |
43,31 |
0,09 |
0,60 |
-6,39 |
39,97 |
31/mrt/2026 |
17,87 |
26,45 |
44,30 |
89,07 |
181,02 |
85,58 |
31/mrt/2026 |
29,35 |
16,82 |
-1,98 |
-4,81 |
28,88 |
31/dec/2025 |
15/apr/2011 |
600.092,18 |
11,22 |
- |
421,31 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0612318385 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
17,84 |
43,43 |
13,03 |
13,61 |
10,88 |
4,30 |
31/mrt/2026 |
43,43 |
0,08 |
0,62 |
-6,41 |
40,06 |
31/mrt/2026 |
17,84 |
26,50 |
44,42 |
89,30 |
180,84 |
87,60 |
31/mrt/2026 |
29,34 |
16,77 |
-1,97 |
-4,86 |
29,01 |
31/dec/2025 |
15/apr/2011 |
162.494.251,38 |
18,47 |
- |
421,31 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0628613639 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
19,70 |
33,78 |
10,35 |
13,45 |
10,22 |
5,57 |
31/mrt/2026 |
33,78 |
-0,53 |
0,98 |
-5,22 |
47,58 |
31/mrt/2026 |
19,70 |
28,33 |
34,37 |
87,95 |
164,51 |
123,82 |
31/mrt/2026 |
39,15 |
23,39 |
-5,89 |
1,00 |
13,57 |
31/dec/2025 |
20/mei/2011 |
68.967.314,09 |
14,69 |
- |
421,31 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0171310443 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-7,51 |
19,17 |
19,11 |
6,61 |
19,20 |
- |
31/mrt/2026 |
19,17 |
-1,81 |
44,41 |
-17,54 |
-1,18 |
31/mrt/2026 |
-7,51 |
-7,61 |
68,98 |
37,69 |
478,88 |
- |
31/mrt/2026 |
16,81 |
-39,59 |
44,66 |
41,36 |
4,40 |
31/dec/2025 |
03/mrt/1995 |
2.167.771.485,35 |
110,75 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0056508442 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,06 |
27,13 |
21,39 |
6,23 |
19,33 |
7,87 |
31/mrt/2026 |
27,13 |
-1,71 |
43,17 |
-18,99 |
-6,64 |
31/mrt/2026 |
-9,06 |
-9,17 |
78,88 |
35,28 |
485,26 |
951,73 |
31/mrt/2026 |
8,01 |
-43,06 |
49,78 |
32,50 |
18,00 |
31/dec/2025 |
03/mrt/1995 |
6.050.367.927,00 |
129,48 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0376438312 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-7,34 |
20,06 |
20,01 |
7,41 |
20,09 |
16,37 |
31/mrt/2026 |
20,06 |
-1,07 |
45,52 |
-16,93 |
-0,44 |
31/mrt/2026 |
-7,34 |
-7,26 |
72,83 |
42,94 |
524,01 |
1.359,94 |
31/mrt/2026 |
17,71 |
-39,13 |
45,73 |
42,42 |
5,18 |
31/dec/2025 |
22/jul/2008 |
551.550.566,01 |
125,95 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0724618946 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-8,90 |
28,09 |
22,30 |
7,03 |
20,22 |
17,51 |
31/mrt/2026 |
28,09 |
-0,98 |
44,24 |
-18,38 |
-5,93 |
31/mrt/2026 |
-8,90 |
-8,83 |
82,94 |
40,45 |
530,78 |
896,57 |
31/mrt/2026 |
8,82 |
-42,63 |
50,90 |
33,50 |
18,90 |
31/dec/2025 |
30/dec/2011 |
902.285.493,79 |
147,25 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU0784395997 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,81 |
3,92 |
4,75 |
-1,71 |
0,94 |
1,94 |
31/mrt/2026 |
3,92 |
5,66 |
4,67 |
-7,44 |
-13,79 |
31/mrt/2026 |
-0,81 |
-0,13 |
14,94 |
-8,28 |
9,80 |
30,48 |
31/mrt/2026 |
-7,58 |
-16,73 |
4,48 |
5,20 |
7,49 |
31/dec/2025 |
06/jun/2012 |
689.672.576,99 |
58,82 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0669554353 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,37 |
8,33 |
8,94 |
7,21 |
11,86 |
10,03 |
31/mrt/2026 |
8,33 |
-2,27 |
22,11 |
3,04 |
6,31 |
31/mrt/2026 |
-4,37 |
-0,55 |
29,28 |
41,62 |
206,69 |
181,55 |
31/mrt/2026 |
27,98 |
-21,31 |
22,80 |
10,12 |
13,69 |
31/dec/2025 |
03/jun/2015 |
15.352.852,05 |
87,76 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0788108743 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,27 |
2,79 |
3,76 |
3,95 |
7,34 |
8,15 |
31/mrt/2026 |
2,79 |
-6,64 |
16,41 |
0,19 |
8,44 |
31/mrt/2026 |
-5,27 |
-3,82 |
11,71 |
21,37 |
103,03 |
194,80 |
31/mrt/2026 |
29,98 |
-22,90 |
19,07 |
7,33 |
5,28 |
31/dec/2025 |
13/jun/2012 |
56.716.137,07 |
31,19 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU0788109477 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,26 |
12,57 |
8,61 |
2,74 |
5,38 |
5,24 |
31/mrt/2026 |
12,57 |
0,62 |
13,10 |
-8,72 |
-2,09 |
31/mrt/2026 |
-4,26 |
-1,32 |
28,10 |
14,48 |
68,95 |
102,40 |
31/mrt/2026 |
6,10 |
-16,97 |
11,10 |
7,58 |
15,52 |
31/dec/2025 |
13/jun/2012 |
178.113.424,52 |
21,52 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0788109634 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,79 |
4,10 |
4,87 |
0,61 |
2,35 |
2,89 |
31/mrt/2026 |
4,10 |
5,05 |
5,46 |
-5,42 |
-5,48 |
31/mrt/2026 |
-0,79 |
0,03 |
15,32 |
3,10 |
26,20 |
48,14 |
31/mrt/2026 |
-2,00 |
-14,95 |
9,14 |
3,31 |
6,78 |
31/dec/2025 |
06/jun/2012 |
208.839.453,45 |
9,80 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0788109550 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,22 |
2,14 |
3,46 |
-0,46 |
1,50 |
2,21 |
31/mrt/2026 |
2,14 |
4,00 |
4,26 |
-6,52 |
-5,63 |
31/mrt/2026 |
-1,22 |
-0,62 |
10,75 |
-2,29 |
16,06 |
35,27 |
31/mrt/2026 |
-2,19 |
-15,58 |
7,69 |
2,16 |
5,06 |
31/dec/2025 |
06/jun/2012 |
18.957.257,77 |
68,84 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0784402520 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,61 |
3,94 |
6,51 |
1,73 |
4,04 |
4,14 |
31/mrt/2026 |
3,94 |
5,80 |
9,88 |
-6,79 |
-3,24 |
31/mrt/2026 |
-1,61 |
-0,50 |
20,83 |
8,97 |
48,56 |
75,10 |
31/mrt/2026 |
2,04 |
-13,54 |
10,52 |
6,94 |
6,30 |
31/dec/2025 |
06/jun/2012 |
57.801.241,87 |
41,92 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
SEK |
LU0797429023 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,77 |
3,38 |
5,63 |
0,75 |
2,65 |
2,98 |
31/mrt/2026 |
3,38 |
4,77 |
8,81 |
-8,43 |
-3,81 |
31/mrt/2026 |
-1,77 |
-1,06 |
17,86 |
3,81 |
29,92 |
49,80 |
31/mrt/2026 |
1,66 |
-15,08 |
9,40 |
6,17 |
5,46 |
31/dec/2025 |
27/jun/2012 |
31.215.942,67 |
15,26 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU0788109048 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,91 |
39,03 |
11,03 |
6,08 |
4,14 |
0,46 |
31/mrt/2026 |
39,03 |
-20,79 |
24,29 |
-13,36 |
13,24 |
31/mrt/2026 |
9,91 |
11,17 |
36,89 |
34,30 |
50,00 |
6,50 |
31/mrt/2026 |
-15,75 |
6,51 |
34,59 |
-34,88 |
43,77 |
31/dec/2025 |
13/jun/2012 |
411.230,47 |
10,66 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU0788109394 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,09 |
36,44 |
16,13 |
19,82 |
7,88 |
3,51 |
31/mrt/2026 |
36,44 |
-1,50 |
16,54 |
1,78 |
54,91 |
31/mrt/2026 |
36,09 |
37,49 |
56,61 |
146,93 |
113,53 |
61,00 |
31/mrt/2026 |
41,13 |
38,73 |
2,33 |
0,73 |
7,16 |
31/dec/2025 |
13/jun/2012 |
44.577.189,08 |
15,60 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU0788108826 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,62 |
98,84 |
39,83 |
20,54 |
13,15 |
4,69 |
31/mrt/2026 |
98,84 |
45,09 |
-5,23 |
-13,89 |
8,12 |
31/mrt/2026 |
1,62 |
21,67 |
173,40 |
154,53 |
243,87 |
88,10 |
31/mrt/2026 |
-10,78 |
-17,72 |
5,22 |
12,25 |
155,66 |
31/dec/2025 |
13/jun/2012 |
392.128.604,57 |
18,76 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU0788109121 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,81 |
71,57 |
15,23 |
11,01 |
14,34 |
4,04 |
31/mrt/2026 |
71,57 |
-2,99 |
-8,07 |
-16,13 |
31,35 |
31/mrt/2026 |
7,81 |
25,25 |
53,01 |
68,55 |
281,86 |
72,60 |
31/mrt/2026 |
15,91 |
0,27 |
-1,72 |
-11,99 |
67,82 |
31/dec/2025 |
13/jun/2012 |
70.981.850,69 |
17,88 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0784385840 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
8,31 |
7,50 |
2,83 |
4,32 |
4,25 |
31/mrt/2026 |
8,31 |
4,73 |
9,53 |
-6,98 |
-0,52 |
31/mrt/2026 |
-1,28 |
0,51 |
24,25 |
14,98 |
52,58 |
77,30 |
31/mrt/2026 |
5,81 |
-13,11 |
9,77 |
6,22 |
10,66 |
31/dec/2025 |
28/jun/2012 |
237.112.604,77 |
18,30 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0784384876 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
8,27 |
7,49 |
2,82 |
4,31 |
4,25 |
31/mrt/2026 |
8,27 |
4,78 |
9,46 |
-6,93 |
-0,57 |
31/mrt/2026 |
-1,28 |
0,52 |
24,18 |
14,92 |
52,56 |
77,26 |
31/mrt/2026 |
5,77 |
-13,14 |
9,88 |
6,23 |
10,60 |
31/dec/2025 |
28/jun/2012 |
679.891.763,29 |
8,42 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0784385170 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,62 |
6,25 |
6,07 |
1,75 |
3,45 |
3,57 |
31/mrt/2026 |
6,25 |
3,70 |
8,30 |
-7,98 |
-0,69 |
31/mrt/2026 |
-1,62 |
-0,09 |
19,34 |
9,05 |
40,40 |
62,03 |
31/mrt/2026 |
5,62 |
-13,79 |
8,49 |
4,95 |
8,82 |
31/dec/2025 |
28/jun/2012 |
265.557.452,01 |
76,55 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0578943853 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,75 |
4,11 |
5,73 |
1,37 |
2,89 |
2,83 |
31/mrt/2026 |
4,11 |
4,17 |
9,00 |
-7,72 |
-1,89 |
31/mrt/2026 |
-1,75 |
-0,67 |
18,21 |
7,02 |
32,91 |
46,66 |
31/mrt/2026 |
3,29 |
-14,31 |
9,78 |
5,64 |
6,04 |
31/dec/2025 |
11/jul/2012 |
2.418.040,68 |
7,74 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0580330818 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,29 |
6,22 |
7,45 |
2,79 |
4,01 |
3,79 |
31/mrt/2026 |
6,22 |
5,77 |
10,41 |
-6,38 |
-1,18 |
31/mrt/2026 |
-1,29 |
0,39 |
24,04 |
14,76 |
48,18 |
66,67 |
31/mrt/2026 |
4,03 |
-13,21 |
11,43 |
7,12 |
8,07 |
31/dec/2025 |
11/jul/2012 |
3.986.725,95 |
8,79 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0802637750 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,52 |
2,05 |
4,42 |
4,77 |
3,64 |
3,62 |
31/mrt/2026 |
2,05 |
-0,71 |
12,37 |
-0,38 |
11,31 |
31/mrt/2026 |
-0,52 |
1,28 |
13,85 |
26,26 |
43,02 |
62,72 |
31/mrt/2026 |
9,50 |
-3,02 |
6,20 |
8,36 |
0,60 |
31/dec/2025 |
25/jul/2012 |
- |
195,37 |
- |
426,18 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU0803751741 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,74 |
4,58 |
6,50 |
2,49 |
4,24 |
4,05 |
31/mrt/2026 |
4,58 |
4,77 |
10,25 |
-5,30 |
-1,15 |
31/mrt/2026 |
-1,74 |
-0,62 |
20,80 |
13,08 |
51,54 |
72,08 |
31/mrt/2026 |
4,03 |
-12,48 |
11,60 |
6,50 |
6,48 |
31/dec/2025 |
25/jul/2012 |
4.422.735,34 |
9,08 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0784385337 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,03 |
9,25 |
8,47 |
3,77 |
5,23 |
4,92 |
31/mrt/2026 |
9,25 |
5,76 |
10,47 |
-6,10 |
0,37 |
31/mrt/2026 |
-1,03 |
0,94 |
27,63 |
20,30 |
66,47 |
92,60 |
31/mrt/2026 |
6,76 |
-12,36 |
10,83 |
7,19 |
11,58 |
31/dec/2025 |
08/aug/2012 |
73.210.142,59 |
19,89 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0813497111 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
0,29 |
1,00 |
4,96 |
2,68 |
3,68 |
4,04 |
31/mrt/2026 |
1,00 |
4,17 |
9,90 |
-5,77 |
4,79 |
31/mrt/2026 |
0,29 |
1,96 |
15,62 |
14,16 |
43,56 |
71,70 |
31/mrt/2026 |
13,85 |
-8,26 |
5,48 |
12,76 |
-2,62 |
31/dec/2025 |
08/aug/2012 |
81.472.992,17 |
17,47 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0784385501 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,88 |
5,15 |
4,79 |
0,21 |
1,57 |
1,78 |
31/mrt/2026 |
5,15 |
2,58 |
6,67 |
-10,31 |
-2,05 |
31/mrt/2026 |
-1,88 |
-0,75 |
15,06 |
1,08 |
16,90 |
27,29 |
31/mrt/2026 |
4,37 |
-15,90 |
6,56 |
3,90 |
7,59 |
31/dec/2025 |
08/aug/2012 |
168.509.471,02 |
6,21 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0808759830 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
2,32 |
3,16 |
-0,87 |
0,47 |
1,28 |
31/mrt/2026 |
2,32 |
3,57 |
3,60 |
-7,12 |
-6,12 |
31/mrt/2026 |
-1,08 |
-0,50 |
9,79 |
-4,27 |
4,76 |
18,90 |
31/mrt/2026 |
-1,89 |
-14,48 |
5,83 |
2,40 |
4,34 |
31/dec/2025 |
22/aug/2012 |
4.044.373,24 |
11,96 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
NZD |
LU0803752475 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,20 |
2,50 |
4,05 |
-0,01 |
1,95 |
3,02 |
31/mrt/2026 |
2,50 |
4,59 |
5,08 |
-6,19 |
-5,40 |
31/mrt/2026 |
-1,20 |
-0,84 |
12,65 |
-0,03 |
21,27 |
49,77 |
31/mrt/2026 |
-2,06 |
-15,40 |
8,58 |
3,04 |
5,35 |
31/dec/2025 |
05/sep/2012 |
2.653.826,20 |
10,95 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0825403933 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,86 |
4,01 |
4,83 |
0,59 |
2,35 |
2,54 |
31/mrt/2026 |
4,01 |
5,10 |
5,39 |
-5,36 |
-5,53 |
31/mrt/2026 |
-0,86 |
-0,06 |
15,20 |
3,00 |
26,13 |
40,55 |
31/mrt/2026 |
-2,07 |
-14,87 |
9,03 |
3,34 |
6,77 |
31/dec/2025 |
05/sep/2012 |
1.459.319,48 |
10,48 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU0803752632 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,88 |
4,28 |
5,37 |
-1,24 |
1,44 |
2,75 |
31/mrt/2026 |
4,28 |
6,37 |
5,46 |
-6,98 |
-13,65 |
31/mrt/2026 |
-0,88 |
-0,37 |
16,98 |
-6,04 |
15,34 |
44,52 |
31/mrt/2026 |
-7,55 |
-16,42 |
5,35 |
6,13 |
7,93 |
31/dec/2025 |
05/sep/2012 |
13.381.788,54 |
8,81 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU0803752046 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,72 |
4,91 |
7,06 |
2,78 |
4,64 |
4,84 |
31/mrt/2026 |
4,91 |
5,51 |
10,85 |
-5,67 |
-0,90 |
31/mrt/2026 |
-1,72 |
-0,48 |
22,71 |
14,71 |
57,44 |
89,92 |
31/mrt/2026 |
4,19 |
-12,73 |
12,09 |
7,08 |
7,05 |
31/dec/2025 |
05/sep/2012 |
2.169.276,58 |
10,08 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0827875856 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-7,27 |
-0,36 |
1,96 |
-9,07 |
2,50 |
4,19 |
31/mrt/2026 |
-0,36 |
28,34 |
-17,13 |
-14,07 |
-31,76 |
31/mrt/2026 |
-7,27 |
-14,53 |
5,98 |
-37,85 |
27,98 |
74,40 |
31/mrt/2026 |
-14,63 |
-32,06 |
-13,43 |
14,08 |
20,44 |
31/dec/2025 |
13/sep/2012 |
11.703,01 |
18,22 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827876078 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,67 |
2,23 |
3,82 |
-8,27 |
2,62 |
4,34 |
31/mrt/2026 |
2,23 |
30,47 |
-16,10 |
-14,65 |
-31,99 |
31/mrt/2026 |
-6,67 |
-13,37 |
11,90 |
-35,05 |
29,46 |
77,83 |
31/mrt/2026 |
-14,65 |
-32,69 |
-12,50 |
15,91 |
23,15 |
31/dec/2025 |
13/sep/2012 |
1.649.795,47 |
12,43 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827875930 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,71 |
2,17 |
3,79 |
-8,27 |
2,61 |
4,34 |
31/mrt/2026 |
2,17 |
30,45 |
-16,12 |
-14,61 |
-31,99 |
31/mrt/2026 |
-6,71 |
-13,43 |
11,80 |
-35,07 |
29,39 |
77,88 |
31/mrt/2026 |
-14,68 |
-32,70 |
-12,49 |
15,89 |
23,17 |
31/dec/2025 |
13/sep/2012 |
142.896,28 |
16,43 |
- |
1.113,27 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0359204129 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-7,09 |
0,33 |
2,22 |
-9,64 |
1,46 |
3,42 |
31/mrt/2026 |
0,33 |
28,50 |
-17,15 |
-16,24 |
-32,66 |
31/mrt/2026 |
-7,09 |
-14,22 |
6,82 |
-39,75 |
15,59 |
57,68 |
31/mrt/2026 |
-15,28 |
-33,96 |
-13,91 |
14,55 |
20,83 |
31/dec/2025 |
13/sep/2012 |
19.520.863,05 |
16,45 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827876318 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-5,37 |
9,88 |
6,50 |
5,41 |
10,63 |
11,59 |
31/mrt/2026 |
9,88 |
-5,68 |
16,55 |
3,47 |
4,10 |
31/mrt/2026 |
-5,37 |
-2,07 |
20,80 |
30,12 |
174,65 |
341,83 |
31/mrt/2026 |
18,50 |
-19,66 |
17,83 |
3,37 |
17,39 |
31/dec/2025 |
13/sep/2012 |
143.232.581,82 |
42,35 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827876151 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,37 |
8,33 |
8,94 |
7,21 |
11,87 |
12,47 |
31/mrt/2026 |
8,33 |
-2,27 |
22,11 |
3,04 |
6,31 |
31/mrt/2026 |
-4,37 |
-0,55 |
29,28 |
41,62 |
206,88 |
391,46 |
31/mrt/2026 |
28,01 |
-21,31 |
22,81 |
10,11 |
13,69 |
31/dec/2025 |
13/sep/2012 |
159.950.888,99 |
84,29 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827876235 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,59 |
7,28 |
8,39 |
6,26 |
10,40 |
11,51 |
31/mrt/2026 |
7,28 |
-2,26 |
21,43 |
0,48 |
5,88 |
31/mrt/2026 |
-4,59 |
-0,86 |
27,34 |
35,47 |
168,86 |
337,27 |
31/mrt/2026 |
27,31 |
-22,94 |
21,78 |
9,75 |
13,14 |
31/dec/2025 |
13/sep/2012 |
54.789.949,33 |
53,78 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827876409 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,60 |
7,27 |
8,39 |
6,25 |
10,39 |
11,51 |
31/mrt/2026 |
7,27 |
-2,25 |
21,43 |
0,47 |
5,87 |
31/mrt/2026 |
-4,60 |
-0,88 |
27,33 |
35,43 |
168,80 |
337,52 |
31/mrt/2026 |
27,31 |
-22,94 |
21,77 |
9,76 |
13,13 |
31/dec/2025 |
13/sep/2012 |
68.732.664,60 |
49,94 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827877043 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
0,45 |
4,17 |
10,09 |
4,36 |
4,28 |
4,69 |
31/mrt/2026 |
4,17 |
7,56 |
19,08 |
-7,75 |
0,56 |
31/mrt/2026 |
0,45 |
4,41 |
33,41 |
23,76 |
52,12 |
86,11 |
31/mrt/2026 |
5,60 |
-11,25 |
12,01 |
16,01 |
1,84 |
31/dec/2025 |
13/sep/2012 |
3.859.176,04 |
22,70 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827877126 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
0,42 |
4,15 |
10,12 |
4,37 |
4,28 |
4,70 |
31/mrt/2026 |
4,15 |
7,53 |
19,22 |
-7,74 |
0,54 |
31/mrt/2026 |
0,42 |
4,46 |
33,53 |
23,85 |
52,06 |
86,30 |
31/mrt/2026 |
5,55 |
-11,17 |
12,00 |
15,99 |
1,87 |
31/dec/2025 |
13/sep/2012 |
734.431,70 |
8,36 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827876821 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,21 |
11,06 |
12,21 |
4,00 |
4,40 |
3,83 |
31/mrt/2026 |
11,06 |
7,74 |
18,07 |
-9,38 |
-4,97 |
31/mrt/2026 |
-1,21 |
2,60 |
41,27 |
21,66 |
53,84 |
66,31 |
31/mrt/2026 |
-2,38 |
-16,33 |
15,98 |
8,76 |
15,13 |
31/dec/2025 |
13/sep/2012 |
16.860.589,53 |
9,77 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827877399 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,75 |
8,52 |
9,90 |
1,67 |
2,03 |
1,96 |
31/mrt/2026 |
8,52 |
5,77 |
15,64 |
-12,73 |
-6,20 |
31/mrt/2026 |
-1,75 |
1,54 |
32,73 |
8,65 |
22,20 |
30,02 |
31/mrt/2026 |
-3,34 |
-19,17 |
13,16 |
6,86 |
12,50 |
31/dec/2025 |
13/sep/2012 |
37.251.298,77 |
19,73 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827875260 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-1,70 |
21,98 |
7,19 |
2,13 |
8,27 |
8,99 |
31/mrt/2026 |
21,98 |
4,95 |
-3,81 |
-0,87 |
-8,97 |
31/mrt/2026 |
-1,70 |
1,98 |
23,14 |
11,13 |
121,39 |
221,15 |
31/mrt/2026 |
-2,77 |
-8,02 |
-2,84 |
9,21 |
22,56 |
31/dec/2025 |
13/sep/2012 |
8.547.237,94 |
49,10 |
- |
846,00 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827875187 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-1,70 |
21,99 |
7,19 |
2,13 |
8,27 |
8,99 |
31/mrt/2026 |
21,99 |
4,96 |
-3,82 |
-0,86 |
-8,98 |
31/mrt/2026 |
-1,70 |
1,96 |
23,14 |
11,12 |
121,37 |
221,15 |
31/mrt/2026 |
-2,79 |
-8,02 |
-2,84 |
9,21 |
22,57 |
31/dec/2025 |
13/sep/2012 |
3.177.358,38 |
58,39 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827876581 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
13/sep/2012 |
4.940.936,59 |
68,33 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
GBP |
LU0827876664 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
13/sep/2012 |
107.937,21 |
40,02 |
- |
269,33 |
28/feb/2022 |
Distributie |
| - |
AUD |
LU0816460074 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,91 |
3,50 |
3,79 |
-0,35 |
1,69 |
2,74 |
31/mrt/2026 |
3,50 |
4,13 |
3,74 |
-6,85 |
-5,64 |
31/mrt/2026 |
-0,91 |
-0,10 |
11,81 |
-1,73 |
18,23 |
44,43 |
31/mrt/2026 |
-2,09 |
-15,88 |
7,07 |
2,34 |
6,10 |
31/dec/2025 |
29/aug/2012 |
1.569.045,90 |
10,65 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU0816460157 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
2,15 |
3,56 |
-0,24 |
1,58 |
2,19 |
31/mrt/2026 |
2,15 |
3,85 |
4,69 |
-5,79 |
-5,58 |
31/mrt/2026 |
-1,33 |
-0,93 |
11,07 |
-1,20 |
16,95 |
34,19 |
31/mrt/2026 |
-2,10 |
-15,20 |
8,30 |
2,36 |
4,99 |
31/dec/2025 |
29/aug/2012 |
1.162.183,66 |
9,88 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0816460231 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,80 |
3,81 |
4,40 |
0,04 |
1,33 |
1,89 |
31/mrt/2026 |
3,81 |
4,73 |
4,65 |
-6,75 |
-5,58 |
31/mrt/2026 |
-0,80 |
-0,01 |
13,79 |
0,18 |
14,08 |
28,94 |
31/mrt/2026 |
-2,20 |
-15,88 |
8,03 |
2,93 |
6,49 |
31/dec/2025 |
29/aug/2012 |
884.810,98 |
9,50 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827877803 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,05 |
2,08 |
4,42 |
-0,22 |
1,28 |
2,15 |
31/mrt/2026 |
2,08 |
3,95 |
7,29 |
-7,81 |
-5,75 |
31/mrt/2026 |
-1,05 |
-0,71 |
13,85 |
-1,08 |
13,54 |
33,32 |
31/mrt/2026 |
-1,51 |
-14,33 |
9,23 |
4,33 |
3,16 |
31/dec/2025 |
20/sep/2012 |
9.949.794,47 |
12,59 |
- |
2.050,30 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827877472 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,79 |
8,32 |
4,77 |
-2,28 |
0,18 |
0,76 |
31/mrt/2026 |
8,32 |
1,92 |
4,18 |
-11,70 |
-12,24 |
31/mrt/2026 |
-2,79 |
-2,39 |
15,02 |
-10,87 |
1,77 |
10,73 |
31/mrt/2026 |
-10,78 |
-21,76 |
11,52 |
-4,12 |
15,11 |
31/dec/2025 |
20/sep/2012 |
26.029.908,65 |
34,49 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827877555 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,12 |
1,51 |
2,81 |
-1,93 |
0,07 |
1,64 |
31/mrt/2026 |
1,51 |
1,85 |
5,09 |
-10,11 |
-7,14 |
31/mrt/2026 |
-1,12 |
-0,71 |
8,65 |
-9,30 |
0,66 |
24,62 |
31/mrt/2026 |
-3,53 |
-16,98 |
7,65 |
2,30 |
1,82 |
31/dec/2025 |
20/sep/2012 |
3.491.194,59 |
17,61 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827877639 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,78 |
8,32 |
4,76 |
-2,28 |
0,18 |
0,75 |
31/mrt/2026 |
8,32 |
1,89 |
4,18 |
-11,66 |
-12,27 |
31/mrt/2026 |
-2,78 |
-2,39 |
14,98 |
-10,89 |
1,78 |
10,64 |
31/mrt/2026 |
-10,78 |
-21,76 |
11,47 |
-4,13 |
15,14 |
31/dec/2025 |
20/sep/2012 |
25.467,00 |
20,59 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827877712 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,51 |
5,61 |
2,43 |
-1,51 |
0,99 |
2,28 |
31/mrt/2026 |
5,61 |
-0,38 |
2,16 |
-6,41 |
-7,87 |
31/mrt/2026 |
-1,51 |
-1,04 |
7,48 |
-7,33 |
10,37 |
35,60 |
31/mrt/2026 |
-9,82 |
-12,46 |
5,77 |
-2,55 |
7,39 |
31/dec/2025 |
20/sep/2012 |
188.567,65 |
20,86 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827880856 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,62 |
8,92 |
10,21 |
6,34 |
9,87 |
10,05 |
31/mrt/2026 |
8,92 |
-0,35 |
23,32 |
-7,55 |
9,86 |
31/mrt/2026 |
-7,62 |
-2,58 |
33,86 |
35,95 |
156,42 |
265,20 |
31/mrt/2026 |
25,09 |
-14,20 |
13,88 |
24,14 |
6,14 |
31/dec/2025 |
20/sep/2012 |
22.479.538,68 |
41,04 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0326425609 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,80 |
13,06 |
9,94 |
3,44 |
7,49 |
7,22 |
31/mrt/2026 |
13,06 |
-1,83 |
19,72 |
-12,88 |
2,31 |
31/mrt/2026 |
-9,80 |
-5,44 |
32,89 |
18,45 |
105,97 |
156,78 |
31/mrt/2026 |
14,40 |
-22,18 |
14,79 |
14,46 |
17,25 |
31/dec/2025 |
20/sep/2012 |
988.178,22 |
25,68 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU0827880187 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,85 |
14,19 |
9,32 |
3,11 |
5,97 |
6,06 |
31/mrt/2026 |
14,19 |
1,17 |
13,11 |
-9,03 |
-1,96 |
31/mrt/2026 |
-3,85 |
-0,63 |
30,66 |
16,53 |
78,61 |
121,56 |
31/mrt/2026 |
6,31 |
-17,21 |
11,00 |
8,09 |
16,86 |
31/dec/2025 |
20/sep/2012 |
5.118.081,27 |
28,46 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0827880260 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,85 |
10,24 |
6,20 |
0,90 |
3,80 |
3,70 |
31/mrt/2026 |
10,24 |
-1,65 |
10,47 |
-10,60 |
-2,35 |
31/mrt/2026 |
-4,85 |
-2,66 |
19,78 |
4,57 |
45,24 |
63,39 |
31/mrt/2026 |
5,68 |
-18,25 |
8,44 |
5,51 |
12,99 |
31/dec/2025 |
20/sep/2012 |
3.508.766,44 |
17,49 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827880344 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,86 |
14,69 |
10,24 |
3,70 |
5,76 |
5,36 |
31/mrt/2026 |
14,69 |
2,27 |
14,23 |
-9,05 |
-1,61 |
31/mrt/2026 |
-3,86 |
-0,59 |
33,98 |
19,89 |
75,01 |
102,60 |
31/mrt/2026 |
6,63 |
-17,34 |
12,09 |
9,23 |
17,71 |
31/dec/2025 |
20/sep/2012 |
65.746.108,67 |
50,64 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0827880427 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,93 |
15,24 |
11,12 |
5,20 |
6,99 |
6,75 |
31/mrt/2026 |
15,24 |
2,92 |
15,67 |
-4,63 |
-1,52 |
31/mrt/2026 |
-3,93 |
-0,55 |
37,19 |
28,85 |
96,52 |
142,10 |
31/mrt/2026 |
6,69 |
-13,96 |
14,14 |
10,00 |
18,49 |
31/dec/2025 |
20/sep/2012 |
28.545.285,72 |
30,66 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0827880690 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,43 |
12,02 |
8,41 |
2,93 |
5,86 |
5,43 |
31/mrt/2026 |
12,02 |
0,58 |
13,07 |
-8,02 |
-1,41 |
31/mrt/2026 |
-4,43 |
-1,84 |
27,40 |
15,54 |
76,80 |
104,60 |
31/mrt/2026 |
6,89 |
-16,46 |
11,37 |
7,65 |
15,04 |
31/dec/2025 |
20/sep/2012 |
2.263.005,21 |
22,68 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827880005 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-2,05 |
8,35 |
8,81 |
5,00 |
6,95 |
7,23 |
31/mrt/2026 |
8,35 |
2,36 |
16,16 |
-5,28 |
4,59 |
31/mrt/2026 |
-2,05 |
1,38 |
28,82 |
27,63 |
95,81 |
157,03 |
31/mrt/2026 |
15,81 |
-10,55 |
9,45 |
16,98 |
4,65 |
31/dec/2025 |
20/sep/2012 |
40.757.714,51 |
77,93 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827880773 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,30 |
12,58 |
8,54 |
2,29 |
4,69 |
4,46 |
31/mrt/2026 |
12,58 |
0,73 |
12,74 |
-10,20 |
-2,47 |
31/mrt/2026 |
-4,30 |
-1,53 |
27,85 |
11,98 |
58,08 |
80,42 |
31/mrt/2026 |
5,99 |
-18,39 |
10,48 |
7,80 |
15,51 |
31/dec/2025 |
20/sep/2012 |
5.630.312,54 |
47,33 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU0827877985 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
-0,57 |
0,74 |
-0,82 |
-0,48 |
0,04 |
31/mrt/2026 |
-0,57 |
1,44 |
1,36 |
-3,20 |
-3,01 |
31/mrt/2026 |
-1,59 |
-1,50 |
2,24 |
-4,02 |
-4,71 |
0,57 |
31/mrt/2026 |
-1,37 |
-5,72 |
2,35 |
0,96 |
1,23 |
31/dec/2025 |
20/sep/2012 |
7.719.434,06 |
10,55 |
- |
1.992,57 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827891978 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,56 |
3,75 |
4,78 |
2,22 |
1,68 |
1,86 |
31/mrt/2026 |
3,75 |
5,69 |
4,90 |
-0,96 |
-2,03 |
31/mrt/2026 |
-0,56 |
0,54 |
15,03 |
11,62 |
18,14 |
28,37 |
31/mrt/2026 |
-0,58 |
-4,02 |
5,97 |
4,89 |
5,63 |
31/dec/2025 |
20/sep/2012 |
170.859,19 |
10,78 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0265552215 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
0,11 |
13,19 |
14,08 |
8,49 |
8,65 |
7,46 |
31/mrt/2026 |
13,19 |
10,01 |
19,22 |
-6,01 |
7,72 |
31/mrt/2026 |
0,11 |
1,87 |
48,46 |
50,31 |
129,27 |
164,64 |
31/mrt/2026 |
18,05 |
-14,05 |
16,80 |
17,69 |
13,65 |
31/dec/2025 |
20/sep/2012 |
100.533.402,66 |
6,73 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827880930 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,40 |
10,28 |
11,69 |
6,08 |
6,34 |
5,66 |
31/mrt/2026 |
10,28 |
8,16 |
16,82 |
-9,40 |
6,40 |
31/mrt/2026 |
-0,40 |
0,74 |
39,35 |
34,32 |
84,99 |
110,59 |
31/mrt/2026 |
16,89 |
-16,80 |
13,76 |
15,78 |
10,89 |
31/dec/2025 |
20/sep/2012 |
14.157.956,31 |
15,83 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827881409 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,79 |
11,65 |
7,61 |
3,90 |
4,80 |
5,26 |
31/mrt/2026 |
11,65 |
-0,10 |
11,73 |
-9,08 |
6,88 |
31/mrt/2026 |
-4,79 |
-2,41 |
24,62 |
21,11 |
59,79 |
99,81 |
31/mrt/2026 |
16,49 |
-17,30 |
13,07 |
6,78 |
14,53 |
31/dec/2025 |
27/sep/2012 |
3.540.789,89 |
23,19 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0827881151 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,46 |
14,09 |
10,16 |
6,74 |
6,92 |
7,43 |
31/mrt/2026 |
14,09 |
2,17 |
14,67 |
-3,74 |
7,70 |
31/mrt/2026 |
-4,46 |
-1,51 |
33,67 |
38,57 |
95,22 |
163,42 |
31/mrt/2026 |
17,24 |
-13,16 |
16,84 |
8,94 |
17,41 |
31/dec/2025 |
27/sep/2012 |
741.759,70 |
33,12 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0827881581 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,90 |
10,98 |
7,48 |
4,59 |
5,89 |
6,17 |
31/mrt/2026 |
10,98 |
-0,23 |
12,14 |
-6,77 |
8,09 |
31/mrt/2026 |
-4,90 |
-2,71 |
24,17 |
25,13 |
77,17 |
124,52 |
31/mrt/2026 |
17,44 |
-15,17 |
13,95 |
6,71 |
13,91 |
31/dec/2025 |
27/sep/2012 |
44.794,33 |
26,41 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827881318 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,28 |
13,75 |
9,30 |
5,30 |
5,79 |
6,13 |
31/mrt/2026 |
13,75 |
1,39 |
13,20 |
-8,03 |
7,81 |
31/mrt/2026 |
-4,28 |
-1,49 |
30,56 |
29,45 |
75,56 |
123,31 |
31/mrt/2026 |
17,00 |
-16,30 |
14,60 |
8,23 |
16,63 |
31/dec/2025 |
27/sep/2012 |
1.619.007,42 |
11,37 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827881748 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,93 |
11,75 |
7,54 |
7,25 |
8,14 |
8,83 |
31/mrt/2026 |
11,75 |
-0,58 |
11,96 |
0,39 |
13,64 |
31/mrt/2026 |
-2,93 |
0,15 |
24,38 |
41,90 |
118,68 |
213,78 |
31/mrt/2026 |
18,93 |
-4,00 |
10,19 |
10,50 |
9,41 |
31/dec/2025 |
27/sep/2012 |
2.306.570,37 |
15,70 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827881235 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,15 |
14,60 |
10,02 |
6,43 |
7,27 |
7,21 |
31/mrt/2026 |
14,60 |
1,75 |
14,22 |
-5,35 |
8,33 |
31/mrt/2026 |
-4,15 |
-1,21 |
33,19 |
36,57 |
101,70 |
156,21 |
31/mrt/2026 |
17,62 |
-14,21 |
16,24 |
8,69 |
17,26 |
31/dec/2025 |
27/sep/2012 |
8.659.630,45 |
21,20 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827882472 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,74 |
4,16 |
6,59 |
1,50 |
3,36 |
3,22 |
31/mrt/2026 |
4,16 |
5,93 |
9,76 |
-8,11 |
-3,19 |
31/mrt/2026 |
-1,74 |
-0,67 |
21,10 |
7,73 |
39,19 |
53,34 |
31/mrt/2026 |
1,84 |
-14,56 |
10,19 |
7,31 |
6,48 |
31/dec/2025 |
27/sep/2012 |
6.268.008,46 |
4,30 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827882126 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,99 |
6,83 |
8,74 |
3,55 |
5,63 |
5,03 |
31/mrt/2026 |
6,83 |
7,52 |
11,95 |
-5,10 |
-2,45 |
31/mrt/2026 |
-0,99 |
0,54 |
28,59 |
19,05 |
72,96 |
93,99 |
31/mrt/2026 |
2,91 |
-12,26 |
12,71 |
9,00 |
8,78 |
31/dec/2025 |
27/sep/2012 |
6.412.304,73 |
7,64 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827876748 |
BGF Emerging Europe Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
30/nov/2022 |
- |
- |
- |
- |
- |
- |
27/sep/2012 |
70.222,82 |
46,94 |
- |
269,33 |
28/feb/2022 |
Kapitalisatie |
| - |
USD |
LU0827882555 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,89 |
3,91 |
2,87 |
1,55 |
2,93 |
2,65 |
31/mrt/2026 |
3,91 |
3,11 |
1,58 |
-4,54 |
3,94 |
31/mrt/2026 |
0,89 |
1,25 |
8,85 |
7,99 |
33,45 |
42,29 |
31/mrt/2026 |
4,82 |
-8,93 |
5,25 |
1,14 |
5,02 |
31/dec/2025 |
27/sep/2012 |
19.022,45 |
16,85 |
- |
138,42 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827883280 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,21 |
41,28 |
27,05 |
13,50 |
11,64 |
14,37 |
31/mrt/2026 |
41,28 |
3,82 |
39,83 |
-1,85 |
-6,42 |
31/mrt/2026 |
3,21 |
11,66 |
105,08 |
88,36 |
200,80 |
513,66 |
31/mrt/2026 |
12,28 |
-10,79 |
22,18 |
25,27 |
32,08 |
31/dec/2025 |
27/sep/2012 |
479.117,51 |
122,76 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827883108 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
1,11 |
31,51 |
17,27 |
4,62 |
7,86 |
8,76 |
31/mrt/2026 |
31,51 |
3,08 |
18,97 |
-10,42 |
-13,23 |
31/mrt/2026 |
1,11 |
3,38 |
61,27 |
25,35 |
113,18 |
210,98 |
31/mrt/2026 |
2,46 |
-22,13 |
12,15 |
9,61 |
31,47 |
31/dec/2025 |
27/sep/2012 |
3.203.711,93 |
123,76 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827883017 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
2,95 |
28,24 |
14,64 |
5,43 |
8,73 |
10,43 |
31/mrt/2026 |
28,24 |
0,71 |
16,65 |
-5,04 |
-8,93 |
31/mrt/2026 |
2,95 |
4,81 |
50,65 |
30,28 |
130,98 |
281,89 |
31/mrt/2026 |
2,61 |
-12,78 |
5,68 |
11,35 |
22,38 |
31/dec/2025 |
27/sep/2012 |
487.735,63 |
81,71 |
- |
61.283,99 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827883447 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
2,11 |
14,19 |
13,93 |
6,45 |
9,04 |
9,69 |
31/mrt/2026 |
14,19 |
-0,92 |
30,71 |
-2,54 |
-5,17 |
31/mrt/2026 |
2,11 |
5,01 |
47,87 |
36,66 |
137,59 |
248,77 |
31/mrt/2026 |
8,96 |
-14,73 |
18,61 |
20,99 |
6,25 |
31/dec/2025 |
27/sep/2012 |
17.626.283,61 |
24,44 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827883520 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-0,07 |
21,80 |
16,10 |
6,07 |
9,16 |
8,75 |
31/mrt/2026 |
21,80 |
-0,86 |
29,58 |
-4,25 |
-10,41 |
31/mrt/2026 |
-0,07 |
3,19 |
56,48 |
34,23 |
140,32 |
210,38 |
31/mrt/2026 |
0,86 |
-20,06 |
23,77 |
13,62 |
20,04 |
31/dec/2025 |
27/sep/2012 |
24.450.535,03 |
28,57 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827883793 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,91 |
30,81 |
25,54 |
14,85 |
12,85 |
14,22 |
31/mrt/2026 |
30,81 |
-0,51 |
52,01 |
4,69 |
-3,51 |
31/mrt/2026 |
1,91 |
11,35 |
97,84 |
99,84 |
235,08 |
502,32 |
31/mrt/2026 |
10,63 |
-8,85 |
34,73 |
29,38 |
20,59 |
31/dec/2025 |
27/sep/2012 |
11.547.965,15 |
26,91 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827883363 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,73 |
18,74 |
13,50 |
6,88 |
10,03 |
10,40 |
31/mrt/2026 |
18,74 |
-3,12 |
27,08 |
1,46 |
-5,95 |
31/mrt/2026 |
1,73 |
4,62 |
46,20 |
39,50 |
160,15 |
280,75 |
31/mrt/2026 |
1,07 |
-10,46 |
16,55 |
15,48 |
11,74 |
31/dec/2025 |
27/sep/2012 |
70.046.543,31 |
18,47 |
- |
198.591,42 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0827875773 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-5,87 |
3,76 |
4,57 |
-7,05 |
4,17 |
5,49 |
31/mrt/2026 |
3,76 |
30,74 |
-15,71 |
-12,27 |
-30,84 |
31/mrt/2026 |
-5,87 |
-12,56 |
14,35 |
-30,62 |
50,42 |
106,21 |
31/mrt/2026 |
-13,85 |
-31,01 |
-11,30 |
15,81 |
24,70 |
31/dec/2025 |
13/sep/2012 |
87.168,93 |
183,93 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827878017 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,93 |
1,82 |
3,19 |
0,87 |
0,60 |
0,98 |
31/mrt/2026 |
1,82 |
4,17 |
3,60 |
-2,33 |
-2,68 |
31/mrt/2026 |
-0,93 |
-0,30 |
9,89 |
4,45 |
6,13 |
14,06 |
31/mrt/2026 |
-1,14 |
-5,18 |
4,55 |
3,55 |
3,63 |
31/dec/2025 |
20/sep/2012 |
14.967.236,72 |
11,95 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827878108 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,94 |
1,79 |
3,20 |
0,86 |
0,59 |
0,98 |
31/mrt/2026 |
1,79 |
4,14 |
3,70 |
-2,37 |
-2,73 |
31/mrt/2026 |
-0,94 |
-0,34 |
9,92 |
4,38 |
6,06 |
14,08 |
31/mrt/2026 |
-1,13 |
-5,28 |
4,66 |
3,51 |
3,59 |
31/dec/2025 |
20/sep/2012 |
9.694.293,30 |
14,82 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827881664 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,75 |
11,65 |
7,64 |
3,91 |
4,79 |
5,27 |
31/mrt/2026 |
11,65 |
-0,04 |
11,75 |
-9,15 |
6,89 |
31/mrt/2026 |
-4,75 |
-2,43 |
24,71 |
21,11 |
59,70 |
100,07 |
31/mrt/2026 |
16,39 |
-17,32 |
13,11 |
6,81 |
14,45 |
31/dec/2025 |
27/sep/2012 |
2.042.775,29 |
15,52 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827884254 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,53 |
38,52 |
10,52 |
5,25 |
3,23 |
-0,63 |
31/mrt/2026 |
38,52 |
-21,15 |
23,59 |
-15,00 |
12,59 |
31/mrt/2026 |
9,53 |
10,71 |
34,99 |
29,18 |
37,40 |
-8,18 |
31/mrt/2026 |
-15,99 |
4,37 |
33,59 |
-34,83 |
43,10 |
31/dec/2025 |
04/okt/2012 |
412.697,32 |
57,77 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0827884171 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,35 |
37,72 |
8,85 |
4,26 |
2,62 |
-1,25 |
31/mrt/2026 |
37,72 |
-22,45 |
20,75 |
-14,94 |
12,32 |
31/mrt/2026 |
9,35 |
10,05 |
28,97 |
23,21 |
29,46 |
-15,65 |
31/mrt/2026 |
-16,20 |
4,73 |
31,07 |
-36,35 |
42,44 |
31/dec/2025 |
04/okt/2012 |
120,43 |
6,91 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0827884338 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,84 |
41,31 |
12,83 |
7,75 |
4,85 |
0,95 |
31/mrt/2026 |
41,31 |
-19,48 |
26,23 |
-10,40 |
12,88 |
31/mrt/2026 |
9,84 |
11,67 |
43,62 |
45,27 |
60,64 |
13,67 |
31/mrt/2026 |
-15,84 |
8,99 |
37,50 |
-33,65 |
46,47 |
31/dec/2025 |
04/okt/2012 |
18.180,17 |
11,42 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827884098 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
11,92 |
39,27 |
10,85 |
8,89 |
6,68 |
2,82 |
31/mrt/2026 |
39,27 |
-21,22 |
24,14 |
-6,33 |
19,97 |
31/mrt/2026 |
11,92 |
13,84 |
36,22 |
53,07 |
90,90 |
45,42 |
31/mrt/2026 |
-13,98 |
20,90 |
30,30 |
-32,42 |
37,28 |
31/dec/2025 |
04/okt/2012 |
1.139.078,56 |
48,81 |
- |
704,17 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827884411 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
10,02 |
40,92 |
12,34 |
6,75 |
4,33 |
0,24 |
31/mrt/2026 |
40,92 |
-19,52 |
25,00 |
-13,86 |
13,50 |
31/mrt/2026 |
10,02 |
11,81 |
41,77 |
38,60 |
52,72 |
3,22 |
31/mrt/2026 |
-15,43 |
5,83 |
35,07 |
-33,65 |
45,77 |
31/dec/2025 |
04/okt/2012 |
1.192.377,11 |
52,36 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827883876 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
11,90 |
39,28 |
10,86 |
8,88 |
6,68 |
2,82 |
31/mrt/2026 |
39,28 |
-21,21 |
24,15 |
-6,35 |
19,97 |
31/mrt/2026 |
11,90 |
13,83 |
36,23 |
53,05 |
90,89 |
45,45 |
31/mrt/2026 |
-13,97 |
20,89 |
30,29 |
-32,42 |
37,28 |
31/dec/2025 |
04/okt/2012 |
1.522.379,97 |
72,36 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827883959 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
12,37 |
33,88 |
11,27 |
8,43 |
5,81 |
2,30 |
31/mrt/2026 |
33,88 |
-19,44 |
27,73 |
-10,06 |
20,99 |
31/mrt/2026 |
12,37 |
14,23 |
37,76 |
49,91 |
75,84 |
35,90 |
31/mrt/2026 |
-7,96 |
14,68 |
32,64 |
-29,07 |
30,23 |
31/dec/2025 |
04/okt/2012 |
71.578,55 |
57,37 |
- |
704,17 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827885491 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,66 |
11,47 |
6,10 |
2,09 |
1,16 |
-0,34 |
31/mrt/2026 |
11,47 |
0,50 |
6,60 |
1,46 |
-8,46 |
31/mrt/2026 |
-2,66 |
0,70 |
19,42 |
10,92 |
12,27 |
-4,43 |
31/mrt/2026 |
-8,02 |
-10,08 |
14,47 |
-6,18 |
19,69 |
31/dec/2025 |
04/okt/2012 |
1.239.240,17 |
16,19 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU0827884841 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,60 |
11,29 |
5,46 |
1,68 |
1,45 |
0,29 |
31/mrt/2026 |
11,29 |
-0,22 |
5,63 |
1,19 |
-8,42 |
31/mrt/2026 |
-2,60 |
0,72 |
17,29 |
8,70 |
15,47 |
3,95 |
31/mrt/2026 |
-8,11 |
-10,01 |
13,61 |
-6,91 |
19,12 |
31/dec/2025 |
04/okt/2012 |
2.427,17 |
4,74 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827884924 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,82 |
5,22 |
4,80 |
3,39 |
2,35 |
1,50 |
31/mrt/2026 |
5,22 |
0,72 |
8,61 |
5,33 |
-2,58 |
31/mrt/2026 |
-0,82 |
2,71 |
15,11 |
18,11 |
26,18 |
22,27 |
31/mrt/2026 |
-0,24 |
-3,05 |
12,09 |
0,59 |
6,41 |
31/dec/2025 |
04/okt/2012 |
266.188,86 |
10,97 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0827885061 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,83 |
13,08 |
6,76 |
3,18 |
2,58 |
0,70 |
31/mrt/2026 |
13,08 |
0,20 |
7,39 |
3,71 |
-7,33 |
31/mrt/2026 |
-1,83 |
1,66 |
21,67 |
16,94 |
28,97 |
9,80 |
31/mrt/2026 |
-7,25 |
-8,61 |
16,32 |
-6,34 |
20,61 |
31/dec/2025 |
04/okt/2012 |
20.130,59 |
100,49 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
PLN |
LU0827884684 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,78 |
12,08 |
6,84 |
3,42 |
2,13 |
0,74 |
31/mrt/2026 |
12,08 |
0,95 |
7,80 |
5,98 |
-8,47 |
31/mrt/2026 |
-2,78 |
0,68 |
21,97 |
18,33 |
23,49 |
10,51 |
31/mrt/2026 |
-8,34 |
-6,67 |
16,47 |
-5,77 |
20,63 |
31/dec/2025 |
04/okt/2012 |
622.873,40 |
12,22 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0827884767 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,27 |
8,91 |
4,35 |
1,29 |
1,16 |
-0,39 |
31/mrt/2026 |
8,91 |
-1,17 |
5,58 |
2,28 |
-8,26 |
31/mrt/2026 |
-3,27 |
-0,65 |
13,63 |
6,63 |
12,24 |
-5,17 |
31/mrt/2026 |
-7,92 |
-9,42 |
13,91 |
-7,65 |
17,18 |
31/dec/2025 |
04/okt/2012 |
556.759,54 |
9,41 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827885145 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,82 |
5,19 |
4,80 |
3,37 |
2,35 |
1,50 |
31/mrt/2026 |
5,19 |
0,74 |
8,63 |
5,35 |
-2,66 |
31/mrt/2026 |
-0,82 |
2,64 |
15,11 |
18,04 |
26,20 |
22,24 |
31/mrt/2026 |
-0,26 |
-2,97 |
12,04 |
0,55 |
6,44 |
31/dec/2025 |
04/okt/2012 |
5.076,95 |
11,05 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827885228 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,48 |
12,23 |
6,82 |
3,01 |
2,47 |
0,62 |
31/mrt/2026 |
12,23 |
0,86 |
7,68 |
3,50 |
-8,05 |
31/mrt/2026 |
-2,48 |
0,96 |
21,89 |
16,00 |
27,58 |
8,65 |
31/mrt/2026 |
-7,78 |
-8,58 |
16,03 |
-5,73 |
20,29 |
31/dec/2025 |
04/okt/2012 |
808.980,95 |
12,92 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827886036 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-3,09 |
4,70 |
8,99 |
4,17 |
6,81 |
7,11 |
31/mrt/2026 |
4,70 |
7,31 |
15,23 |
-6,24 |
1,07 |
31/mrt/2026 |
-3,09 |
-1,37 |
29,46 |
22,68 |
93,24 |
152,41 |
31/mrt/2026 |
15,14 |
-21,27 |
17,16 |
10,89 |
8,90 |
31/dec/2025 |
04/okt/2012 |
4.898.515,55 |
123,09 |
- |
142,26 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827885905 |
BGF United Kingdom Fund |
BlackRock (Luxembourg) S.A. |
-4,32 |
7,37 |
11,49 |
3,37 |
5,96 |
5,56 |
31/mrt/2026 |
7,37 |
9,80 |
17,54 |
-11,54 |
-3,72 |
31/mrt/2026 |
-4,32 |
-2,72 |
38,57 |
18,01 |
78,34 |
107,55 |
31/mrt/2026 |
13,90 |
-29,64 |
23,52 |
9,10 |
16,75 |
31/dec/2025 |
04/okt/2012 |
3.894.413,69 |
235,53 |
- |
142,26 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0830182670 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,13 |
3,03 |
3,91 |
-2,11 |
0,71 |
1,43 |
31/mrt/2026 |
3,03 |
4,70 |
4,02 |
-7,12 |
-13,73 |
31/mrt/2026 |
-1,13 |
-1,01 |
12,21 |
-10,09 |
7,33 |
21,07 |
31/mrt/2026 |
-7,44 |
-16,47 |
4,05 |
4,50 |
6,47 |
31/dec/2025 |
03/okt/2012 |
9.986.955,27 |
7,40 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0827884502 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,56 |
37,80 |
10,52 |
6,07 |
4,24 |
0,06 |
31/mrt/2026 |
37,80 |
-21,15 |
24,23 |
-12,54 |
13,75 |
31/mrt/2026 |
9,56 |
10,47 |
34,98 |
34,29 |
51,53 |
0,76 |
31/mrt/2026 |
-15,12 |
7,24 |
34,78 |
-34,92 |
42,41 |
31/dec/2025 |
04/okt/2012 |
20.643,28 |
7,91 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0827889303 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,34 |
97,29 |
39,17 |
20,31 |
13,19 |
3,88 |
31/mrt/2026 |
97,29 |
44,92 |
-5,72 |
-13,96 |
8,67 |
31/mrt/2026 |
1,34 |
20,94 |
169,55 |
152,02 |
245,35 |
66,89 |
31/mrt/2026 |
-10,37 |
-17,57 |
4,68 |
12,09 |
154,21 |
31/dec/2025 |
11/okt/2012 |
9.091.040,99 |
17,38 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827889212 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,99 |
102,49 |
41,39 |
20,88 |
13,15 |
3,95 |
31/mrt/2026 |
102,49 |
47,29 |
-5,23 |
-15,84 |
8,51 |
31/mrt/2026 |
1,99 |
22,62 |
182,65 |
158,12 |
243,96 |
68,52 |
31/mrt/2026 |
-10,58 |
-19,10 |
4,63 |
13,93 |
160,20 |
31/dec/2025 |
11/okt/2012 |
37.343.622,87 |
59,49 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827889139 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
4,00 |
91,30 |
40,06 |
23,19 |
14,88 |
6,19 |
31/mrt/2026 |
91,30 |
47,58 |
-2,68 |
-10,62 |
15,54 |
31/mrt/2026 |
4,00 |
25,05 |
174,74 |
183,73 |
300,22 |
124,65 |
31/mrt/2026 |
-2,57 |
-11,30 |
3,61 |
22,06 |
131,31 |
31/dec/2025 |
11/okt/2012 |
4.381.888,02 |
94,27 |
- |
11.254,06 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827878447 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,88 |
9,69 |
8,29 |
7,53 |
8,81 |
9,48 |
31/mrt/2026 |
9,69 |
0,44 |
15,25 |
7,76 |
5,06 |
31/mrt/2026 |
-5,88 |
-3,89 |
26,98 |
43,76 |
132,75 |
238,89 |
31/mrt/2026 |
19,78 |
-14,35 |
14,08 |
8,74 |
21,52 |
31/dec/2025 |
11/okt/2012 |
2.939.524,74 |
38,89 |
- |
1.289,97 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827879098 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,73 |
7,05 |
3,60 |
4,09 |
7,86 |
8,01 |
31/mrt/2026 |
7,05 |
-8,22 |
13,17 |
2,53 |
7,16 |
31/mrt/2026 |
-5,73 |
-4,35 |
11,20 |
22,18 |
113,21 |
182,14 |
31/mrt/2026 |
21,42 |
-20,03 |
16,50 |
2,67 |
11,46 |
31/dec/2025 |
11/okt/2012 |
347.330,94 |
163,74 |
- |
1.140,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827879171 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-6,26 |
0,85 |
2,23 |
0,73 |
5,78 |
6,84 |
31/mrt/2026 |
0,85 |
-7,97 |
15,11 |
-3,86 |
0,98 |
31/mrt/2026 |
-6,26 |
-8,34 |
6,83 |
3,71 |
75,44 |
143,89 |
31/mrt/2026 |
17,08 |
-29,66 |
22,04 |
0,24 |
7,72 |
31/dec/2025 |
11/okt/2012 |
6.523.492,15 |
82,95 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0827889998 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
6,95 |
67,38 |
12,58 |
8,75 |
12,33 |
2,14 |
31/mrt/2026 |
67,38 |
-4,97 |
-10,30 |
-18,32 |
30,49 |
31/mrt/2026 |
6,95 |
23,34 |
42,68 |
52,07 |
219,74 |
33,08 |
31/mrt/2026 |
15,09 |
-1,94 |
-4,30 |
-13,61 |
64,00 |
31/dec/2025 |
11/okt/2012 |
5.913.356,49 |
12,92 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0827890061 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,72 |
74,29 |
17,24 |
12,62 |
15,17 |
4,69 |
31/mrt/2026 |
74,29 |
-1,36 |
-6,26 |
-14,69 |
31,79 |
31/mrt/2026 |
7,72 |
25,63 |
61,15 |
81,19 |
310,72 |
85,47 |
31/mrt/2026 |
16,11 |
1,43 |
0,20 |
-10,44 |
71,41 |
31/dec/2025 |
11/okt/2012 |
35.796,13 |
17,08 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827890145 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
8,01 |
74,32 |
16,70 |
11,28 |
14,17 |
3,72 |
31/mrt/2026 |
74,32 |
-1,53 |
-7,40 |
-18,32 |
31,44 |
31/mrt/2026 |
8,01 |
25,97 |
58,95 |
70,66 |
276,16 |
63,55 |
31/mrt/2026 |
15,76 |
-2,38 |
-1,40 |
-10,59 |
70,72 |
31/dec/2025 |
11/okt/2012 |
10.340.316,97 |
61,58 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827878280 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-7,06 |
12,50 |
10,78 |
6,70 |
7,95 |
7,95 |
31/mrt/2026 |
12,50 |
2,80 |
17,54 |
1,67 |
0,06 |
31/mrt/2026 |
-7,06 |
-5,19 |
35,94 |
38,30 |
114,85 |
180,04 |
31/mrt/2026 |
18,52 |
-23,45 |
20,24 |
6,97 |
30,31 |
31/dec/2025 |
11/okt/2012 |
10.500.218,41 |
70,20 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827878959 |
BGF European Equity Transition Fund |
BlackRock (Luxembourg) S.A. |
-3,30 |
18,87 |
10,33 |
5,72 |
7,74 |
7,37 |
31/mrt/2026 |
18,87 |
-1,91 |
15,17 |
-3,60 |
2,04 |
31/mrt/2026 |
-3,30 |
1,94 |
34,29 |
32,09 |
110,79 |
160,60 |
31/mrt/2026 |
19,88 |
-28,68 |
22,60 |
0,43 |
30,68 |
31/dec/2025 |
11/okt/2012 |
3.876.872,00 |
59,07 |
- |
299,85 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827878363 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,49 |
5,44 |
8,69 |
7,08 |
7,83 |
8,87 |
31/mrt/2026 |
5,44 |
2,71 |
18,58 |
3,51 |
5,91 |
31/mrt/2026 |
-5,49 |
-3,55 |
28,41 |
40,77 |
112,47 |
214,18 |
31/mrt/2026 |
28,20 |
-18,77 |
16,10 |
14,13 |
15,29 |
31/dec/2025 |
11/okt/2012 |
1.107.371,45 |
44,95 |
- |
1.289,97 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU0827875690 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,63 |
4,50 |
5,27 |
-1,22 |
1,44 |
1,98 |
31/mrt/2026 |
4,50 |
6,08 |
5,25 |
-7,03 |
-13,31 |
31/mrt/2026 |
-0,63 |
0,08 |
16,67 |
-5,97 |
15,36 |
30,24 |
31/mrt/2026 |
-7,10 |
-16,32 |
5,01 |
5,68 |
7,96 |
31/dec/2025 |
11/okt/2012 |
101.453.989,41 |
8,37 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827875344 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,38 |
6,41 |
6,68 |
-0,16 |
2,29 |
2,66 |
31/mrt/2026 |
6,41 |
7,30 |
6,33 |
-5,86 |
-13,19 |
31/mrt/2026 |
-0,38 |
0,63 |
21,40 |
-0,79 |
25,44 |
42,49 |
31/mrt/2026 |
-6,96 |
-15,60 |
6,32 |
7,00 |
9,84 |
31/dec/2025 |
11/okt/2012 |
25.178.993,98 |
10,30 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827875427 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,39 |
6,44 |
6,70 |
-0,16 |
2,29 |
2,67 |
31/mrt/2026 |
6,44 |
7,22 |
6,43 |
-5,92 |
-13,18 |
31/mrt/2026 |
-0,39 |
0,67 |
21,46 |
-0,79 |
25,46 |
42,57 |
31/mrt/2026 |
-6,95 |
-15,63 |
6,32 |
6,98 |
9,85 |
31/dec/2025 |
11/okt/2012 |
46.066.725,92 |
9,00 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0827890228 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,52 |
70,30 |
14,73 |
10,77 |
14,30 |
10,43 |
31/mrt/2026 |
70,30 |
-3,27 |
-8,33 |
-16,36 |
32,02 |
31/mrt/2026 |
7,52 |
24,45 |
51,00 |
66,75 |
280,67 |
199,34 |
31/mrt/2026 |
16,27 |
0,11 |
-1,93 |
-12,05 |
66,53 |
31/dec/2025 |
11/mrt/2015 |
2.488.879,93 |
14,06 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827889725 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
9,83 |
71,76 |
15,05 |
13,94 |
17,12 |
6,69 |
31/mrt/2026 |
71,76 |
-3,50 |
-8,11 |
-9,35 |
39,12 |
31/mrt/2026 |
9,83 |
28,25 |
52,31 |
92,07 |
385,78 |
139,10 |
31/mrt/2026 |
18,25 |
13,88 |
-4,82 |
-8,77 |
60,22 |
31/dec/2025 |
11/okt/2012 |
55.870.498,11 |
69,60 |
- |
7.469,06 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0840974975 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,07 |
-4,00 |
5,94 |
9,50 |
5,41 |
7,32 |
31/mrt/2026 |
-4,00 |
8,64 |
14,01 |
20,24 |
10,08 |
31/mrt/2026 |
-0,07 |
1,36 |
18,91 |
57,39 |
69,29 |
159,07 |
31/mrt/2026 |
15,81 |
12,16 |
7,51 |
18,38 |
-2,10 |
31/dec/2025 |
10/okt/2012 |
- |
264,22 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827879338 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,65 |
19,11 |
14,05 |
11,94 |
9,33 |
10,07 |
31/mrt/2026 |
19,11 |
10,18 |
13,05 |
9,77 |
7,92 |
31/mrt/2026 |
-2,65 |
5,23 |
48,37 |
75,76 |
144,09 |
263,59 |
31/mrt/2026 |
14,36 |
1,31 |
12,76 |
7,58 |
31,49 |
31/dec/2025 |
18/okt/2012 |
6.767.251,62 |
127,89 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827879502 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,66 |
19,11 |
14,05 |
11,94 |
9,33 |
10,07 |
31/mrt/2026 |
19,11 |
10,18 |
13,05 |
9,76 |
7,91 |
31/mrt/2026 |
-2,66 |
5,23 |
48,36 |
75,73 |
144,03 |
263,47 |
31/mrt/2026 |
14,38 |
1,28 |
12,76 |
7,59 |
31,49 |
31/dec/2025 |
18/okt/2012 |
1.062.413,96 |
83,14 |
- |
1.550,51 |
30/apr/2026 |
Distributie |
| - |
PLN |
LU0827879684 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,70 |
6,20 |
6,84 |
3,96 |
3,86 |
3,89 |
31/mrt/2026 |
6,20 |
6,84 |
7,47 |
1,58 |
-1,95 |
31/mrt/2026 |
-0,70 |
0,81 |
21,94 |
21,45 |
46,01 |
67,17 |
31/mrt/2026 |
0,34 |
-2,50 |
8,40 |
5,44 |
9,14 |
31/dec/2025 |
18/okt/2012 |
4.014.950,50 |
21,44 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827879924 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,26 |
14,66 |
8,17 |
5,10 |
7,35 |
6,61 |
31/mrt/2026 |
14,66 |
1,89 |
8,33 |
-6,31 |
8,13 |
31/mrt/2026 |
-1,26 |
2,80 |
26,55 |
28,21 |
103,31 |
136,59 |
31/mrt/2026 |
16,38 |
-11,92 |
8,14 |
8,96 |
11,96 |
31/dec/2025 |
18/okt/2012 |
97.800.608,17 |
69,31 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827882043 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,06 |
2,71 |
2,86 |
-0,71 |
1,19 |
1,96 |
31/mrt/2026 |
2,71 |
3,09 |
2,80 |
-6,21 |
-5,48 |
31/mrt/2026 |
-1,06 |
-0,24 |
8,84 |
-3,51 |
12,52 |
29,75 |
31/mrt/2026 |
-2,67 |
-13,74 |
6,21 |
1,89 |
4,36 |
31/dec/2025 |
18/okt/2012 |
73.926,89 |
19,45 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827882712 |
BGF India Fund |
BlackRock (Luxembourg) S.A. |
-15,51 |
-14,96 |
-0,10 |
2,17 |
6,84 |
8,23 |
31/mrt/2026 |
-14,96 |
-2,96 |
20,82 |
-5,72 |
18,45 |
31/mrt/2026 |
-15,51 |
-12,00 |
-0,29 |
11,35 |
93,82 |
189,63 |
31/mrt/2026 |
27,86 |
-3,99 |
11,81 |
10,18 |
-8,73 |
31/dec/2025 |
18/okt/2012 |
5.620.014,21 |
40,20 |
- |
360,41 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU0827885574 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
8,77 |
47,02 |
8,33 |
6,98 |
11,89 |
11,62 |
31/mrt/2026 |
47,02 |
-13,96 |
0,49 |
3,75 |
6,24 |
31/mrt/2026 |
8,77 |
16,79 |
27,12 |
40,12 |
207,49 |
338,43 |
31/mrt/2026 |
26,10 |
-12,71 |
9,72 |
-2,20 |
18,77 |
31/dec/2025 |
18/okt/2012 |
73.986.238,89 |
22,08 |
- |
5.086,07 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827886549 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,79 |
11,48 |
10,05 |
8,51 |
9,72 |
10,52 |
31/mrt/2026 |
11,48 |
1,20 |
18,13 |
-2,00 |
15,16 |
31/mrt/2026 |
-1,79 |
4,02 |
33,28 |
50,42 |
152,86 |
283,92 |
31/mrt/2026 |
21,88 |
6,40 |
6,20 |
10,14 |
13,24 |
31/dec/2025 |
18/okt/2012 |
1.431.902,00 |
119,02 |
- |
930,31 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0329591993 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,66 |
11,62 |
10,19 |
5,23 |
6,43 |
7,07 |
31/mrt/2026 |
11,62 |
1,70 |
17,86 |
-10,94 |
8,29 |
31/mrt/2026 |
-3,66 |
1,37 |
33,79 |
29,04 |
86,51 |
150,74 |
31/mrt/2026 |
19,30 |
-8,02 |
8,91 |
6,50 |
18,77 |
31/dec/2025 |
18/okt/2012 |
14.858.590,41 |
100,36 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU0827885731 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,26 |
3,68 |
4,13 |
1,51 |
4,17 |
4,21 |
31/mrt/2026 |
3,68 |
5,15 |
3,55 |
-0,08 |
-4,44 |
31/mrt/2026 |
0,26 |
0,19 |
12,90 |
7,80 |
50,46 |
74,11 |
31/mrt/2026 |
-1,68 |
-4,00 |
2,39 |
6,74 |
4,24 |
31/dec/2025 |
18/okt/2012 |
37.190.792,92 |
115,06 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827882639 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,96 |
-1,74 |
4,93 |
3,98 |
10,10 |
10,12 |
31/mrt/2026 |
-1,74 |
-0,42 |
18,08 |
-7,34 |
13,52 |
31/mrt/2026 |
-7,96 |
-5,76 |
15,54 |
21,53 |
161,65 |
265,68 |
31/mrt/2026 |
30,34 |
-13,27 |
10,23 |
19,80 |
-3,28 |
31/dec/2025 |
18/okt/2012 |
4.541.628,04 |
100,75 |
- |
586,05 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827879411 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-3,90 |
22,15 |
16,66 |
11,08 |
8,46 |
8,48 |
31/mrt/2026 |
22,15 |
12,75 |
15,29 |
3,57 |
2,82 |
31/mrt/2026 |
-3,90 |
3,79 |
58,78 |
69,08 |
125,27 |
198,73 |
31/mrt/2026 |
13,15 |
-9,46 |
18,89 |
5,83 |
40,98 |
31/dec/2025 |
18/okt/2012 |
22.733.860,31 |
172,88 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827879841 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,19 |
3,52 |
4,14 |
0,80 |
1,39 |
1,46 |
31/mrt/2026 |
3,52 |
4,31 |
4,60 |
-4,67 |
-3,37 |
31/mrt/2026 |
-1,19 |
-0,30 |
12,94 |
4,04 |
14,82 |
21,56 |
31/mrt/2026 |
-0,32 |
-8,17 |
4,87 |
3,20 |
6,05 |
31/dec/2025 |
18/okt/2012 |
2.634.379,19 |
6,22 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0278469043 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,69 |
5,79 |
6,21 |
2,73 |
3,49 |
3,11 |
31/mrt/2026 |
5,79 |
6,15 |
6,69 |
-2,08 |
-2,46 |
31/mrt/2026 |
-0,69 |
0,70 |
19,81 |
14,44 |
40,92 |
50,97 |
31/mrt/2026 |
0,43 |
-6,05 |
7,15 |
4,98 |
8,44 |
31/dec/2025 |
18/okt/2012 |
698.250.791,01 |
18,83 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827881821 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,38 |
1,08 |
1,38 |
-2,28 |
-0,68 |
0,46 |
31/mrt/2026 |
1,08 |
1,81 |
1,25 |
-8,76 |
-6,28 |
31/mrt/2026 |
-1,38 |
-0,98 |
4,19 |
-10,91 |
-6,58 |
6,38 |
31/mrt/2026 |
-3,44 |
-15,72 |
4,11 |
0,67 |
2,80 |
31/dec/2025 |
18/okt/2012 |
60,64 |
14,47 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827886119 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,39 |
7,16 |
10,46 |
8,06 |
8,72 |
9,96 |
31/mrt/2026 |
7,16 |
3,46 |
21,55 |
-5,87 |
16,13 |
31/mrt/2026 |
-1,39 |
4,36 |
34,77 |
47,31 |
130,80 |
258,67 |
31/mrt/2026 |
30,43 |
0,89 |
8,13 |
15,60 |
7,42 |
31/dec/2025 |
18/okt/2012 |
21.467.449,41 |
161,34 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827886200 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-1,80 |
11,48 |
10,05 |
8,51 |
9,72 |
10,52 |
31/mrt/2026 |
11,48 |
1,21 |
18,12 |
-1,98 |
15,15 |
31/mrt/2026 |
-1,80 |
4,01 |
33,28 |
50,43 |
152,84 |
283,99 |
31/mrt/2026 |
21,88 |
6,40 |
6,20 |
10,14 |
13,25 |
31/dec/2025 |
18/okt/2012 |
1.117.099,74 |
139,53 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827886465 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,05 |
14,32 |
12,57 |
7,67 |
8,85 |
8,92 |
31/mrt/2026 |
14,32 |
3,56 |
20,49 |
-7,54 |
9,71 |
31/mrt/2026 |
-3,05 |
2,60 |
42,65 |
44,70 |
133,40 |
215,63 |
31/mrt/2026 |
20,58 |
-4,90 |
11,96 |
8,35 |
21,41 |
31/dec/2025 |
18/okt/2012 |
11.556.865,08 |
161,21 |
- |
930,31 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0827879767 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,35 |
2,94 |
3,99 |
1,32 |
2,49 |
2,42 |
31/mrt/2026 |
2,94 |
4,19 |
4,85 |
-2,65 |
-2,49 |
31/mrt/2026 |
-1,35 |
-0,68 |
12,46 |
6,75 |
27,87 |
37,97 |
31/mrt/2026 |
0,47 |
-6,37 |
5,48 |
3,03 |
5,76 |
31/dec/2025 |
18/okt/2012 |
3.942.509,02 |
25,01 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0803752129 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,00 |
2,97 |
3,62 |
-0,26 |
0,78 |
0,55 |
31/mrt/2026 |
2,97 |
4,81 |
3,10 |
-2,81 |
-8,72 |
31/mrt/2026 |
0,00 |
-0,19 |
11,27 |
-1,28 |
8,03 |
7,60 |
31/mrt/2026 |
-5,99 |
-7,44 |
1,67 |
6,88 |
3,36 |
31/dec/2025 |
17/okt/2012 |
65.373.559,97 |
10,91 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827973438 |
BSF European Opportunities Extension Fund |
BlackRock (Luxembourg) S.A. |
-5,46 |
7,58 |
5,59 |
6,71 |
10,42 |
14,36 |
31/mrt/2026 |
7,58 |
-6,46 |
16,99 |
0,17 |
17,33 |
31/mrt/2026 |
-5,46 |
-1,46 |
17,73 |
38,37 |
169,33 |
507,88 |
31/mrt/2026 |
35,28 |
-20,09 |
19,38 |
1,89 |
11,60 |
31/dec/2025 |
18/okt/2012 |
- |
615,49 |
- |
345,82 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0841166456 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,85 |
3,55 |
4,05 |
-2,64 |
-0,38 |
0,42 |
31/mrt/2026 |
3,55 |
4,88 |
3,72 |
-9,12 |
-14,56 |
31/mrt/2026 |
-0,85 |
-0,59 |
12,65 |
-12,53 |
-3,72 |
5,75 |
31/mrt/2026 |
-8,35 |
-18,20 |
3,31 |
4,62 |
6,87 |
31/dec/2025 |
24/okt/2012 |
7.598.022,55 |
6,48 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0841155764 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,45 |
5,23 |
5,14 |
-1,64 |
1,12 |
2,19 |
31/mrt/2026 |
5,23 |
5,87 |
4,33 |
-8,03 |
-13,89 |
31/mrt/2026 |
-0,45 |
0,25 |
16,22 |
-7,96 |
11,75 |
33,70 |
31/mrt/2026 |
-7,75 |
-17,21 |
4,09 |
5,44 |
8,45 |
31/dec/2025 |
24/okt/2012 |
13.783.942,01 |
8,21 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0827886895 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,13 |
6,65 |
7,51 |
3,08 |
5,06 |
5,06 |
31/mrt/2026 |
6,65 |
5,79 |
10,15 |
-5,76 |
-0,61 |
31/mrt/2026 |
-1,13 |
0,62 |
24,28 |
16,40 |
63,88 |
94,04 |
31/mrt/2026 |
4,72 |
-12,68 |
11,32 |
7,00 |
8,42 |
31/dec/2025 |
25/okt/2012 |
4.470.126,89 |
23,24 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827887604 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-9,90 |
6,93 |
16,36 |
7,57 |
13,67 |
14,35 |
31/mrt/2026 |
6,93 |
-0,27 |
47,73 |
-16,33 |
9,27 |
31/mrt/2026 |
-9,90 |
-10,28 |
57,54 |
44,04 |
260,26 |
505,51 |
31/mrt/2026 |
28,22 |
-36,47 |
48,54 |
39,92 |
-2,06 |
31/dec/2025 |
25/okt/2012 |
22.464.212,48 |
54,42 |
- |
423,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827888321 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,93 |
3,04 |
4,00 |
0,05 |
1,79 |
2,27 |
31/mrt/2026 |
3,04 |
4,22 |
4,75 |
-5,65 |
-5,54 |
31/mrt/2026 |
-0,93 |
-0,21 |
12,49 |
0,26 |
19,46 |
35,17 |
31/mrt/2026 |
-1,29 |
-13,38 |
7,21 |
3,22 |
4,96 |
31/dec/2025 |
25/okt/2012 |
3.119.268,92 |
53,14 |
- |
940,52 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU0827888834 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
35,38 |
34,26 |
13,96 |
18,01 |
6,64 |
2,18 |
31/mrt/2026 |
34,26 |
-3,22 |
13,91 |
0,46 |
53,90 |
31/mrt/2026 |
35,38 |
35,76 |
48,01 |
128,84 |
90,18 |
33,52 |
31/mrt/2026 |
40,28 |
37,15 |
0,15 |
-0,88 |
5,46 |
31/dec/2025 |
25/okt/2012 |
3.215.449,73 |
9,37 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827887356 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
0,00 |
4,30 |
4,75 |
2,07 |
2,23 |
1,98 |
31/mrt/2026 |
4,30 |
5,63 |
4,32 |
-0,07 |
-3,55 |
31/mrt/2026 |
0,00 |
1,31 |
14,93 |
10,78 |
24,73 |
30,13 |
31/mrt/2026 |
-0,34 |
-4,66 |
5,32 |
4,78 |
5,87 |
31/dec/2025 |
25/okt/2012 |
264.089.868,13 |
16,31 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827887786 |
BGF US Mid-Cap Value Fund |
BlackRock (Luxembourg) S.A. |
-1,95 |
3,74 |
7,23 |
6,71 |
9,18 |
11,18 |
31/mrt/2026 |
3,74 |
-0,05 |
18,92 |
-6,42 |
19,89 |
31/mrt/2026 |
-1,95 |
0,53 |
23,30 |
38,34 |
140,59 |
315,19 |
31/mrt/2026 |
37,06 |
0,82 |
8,61 |
15,17 |
0,03 |
31/dec/2025 |
25/okt/2012 |
7.123.299,52 |
419,33 |
- |
339,23 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827889055 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-11,38 |
18,35 |
27,55 |
13,58 |
14,97 |
12,98 |
31/mrt/2026 |
18,35 |
18,09 |
48,47 |
-10,34 |
1,61 |
31/mrt/2026 |
-11,38 |
-3,02 |
107,51 |
89,04 |
303,67 |
415,19 |
31/mrt/2026 |
26,54 |
-13,82 |
24,37 |
40,76 |
28,28 |
31/dec/2025 |
25/okt/2012 |
65.513.241,64 |
72,60 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827889485 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-3,41 |
-2,67 |
3,21 |
4,93 |
9,02 |
12,23 |
31/mrt/2026 |
-2,67 |
-1,50 |
14,68 |
-1,41 |
17,32 |
31/mrt/2026 |
-3,41 |
7,69 |
9,95 |
27,18 |
137,11 |
371,08 |
31/mrt/2026 |
24,45 |
1,33 |
-0,60 |
9,58 |
0,81 |
31/dec/2025 |
25/okt/2012 |
471.520.414,18 |
69,01 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0827890491 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-7,72 |
24,90 |
19,56 |
7,86 |
21,19 |
19,85 |
31/mrt/2026 |
24,90 |
-3,22 |
41,40 |
-13,49 |
-1,27 |
31/mrt/2026 |
-7,72 |
-7,58 |
70,93 |
45,99 |
583,44 |
1.037,58 |
31/mrt/2026 |
9,99 |
-35,82 |
43,15 |
35,68 |
10,90 |
31/dec/2025 |
25/okt/2012 |
162.106.518,44 |
108,93 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0827888677 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
39,08 |
31,34 |
16,35 |
22,41 |
9,52 |
5,51 |
31/mrt/2026 |
31,34 |
0,17 |
19,71 |
5,48 |
65,43 |
31/mrt/2026 |
39,08 |
41,12 |
57,49 |
174,82 |
148,21 |
105,59 |
31/mrt/2026 |
53,94 |
49,14 |
0,86 |
9,57 |
-2,82 |
31/dec/2025 |
25/okt/2012 |
848.914,06 |
26,73 |
- |
2.691,53 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827970921 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,93 |
0,09 |
2,82 |
3,31 |
2,49 |
2,64 |
31/mrt/2026 |
0,09 |
-2,11 |
10,96 |
-1,85 |
10,30 |
31/mrt/2026 |
-0,93 |
0,32 |
8,72 |
17,69 |
27,85 |
41,91 |
31/mrt/2026 |
8,75 |
-4,45 |
4,76 |
7,04 |
-1,32 |
31/dec/2025 |
25/okt/2012 |
- |
168,86 |
- |
426,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827887513 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,71 |
25,01 |
15,97 |
11,66 |
13,61 |
14,19 |
31/mrt/2026 |
25,01 |
-2,57 |
28,06 |
-5,58 |
17,84 |
31/mrt/2026 |
-3,71 |
2,66 |
55,97 |
73,54 |
258,37 |
494,18 |
31/mrt/2026 |
35,15 |
-9,43 |
19,13 |
23,85 |
14,48 |
31/dec/2025 |
25/okt/2012 |
26.046,95 |
90,23 |
- |
2.354,48 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0827887430 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-4,11 |
30,04 |
15,54 |
12,13 |
14,65 |
14,86 |
31/mrt/2026 |
30,04 |
-4,69 |
24,45 |
-1,66 |
16,84 |
31/mrt/2026 |
-4,11 |
2,30 |
54,24 |
77,22 |
292,48 |
542,50 |
31/mrt/2026 |
26,30 |
-4,51 |
17,04 |
17,99 |
20,70 |
31/dec/2025 |
25/okt/2012 |
5.435.696,20 |
77,96 |
- |
2.354,48 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0827888594 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,39 |
0,74 |
1,94 |
-1,88 |
-0,30 |
0,58 |
31/mrt/2026 |
0,74 |
2,44 |
2,64 |
-8,23 |
-6,43 |
31/mrt/2026 |
-1,39 |
-1,22 |
5,92 |
-9,05 |
-3,00 |
8,07 |
31/mrt/2026 |
-2,12 |
-15,42 |
4,72 |
1,49 |
2,67 |
31/dec/2025 |
25/okt/2012 |
2.700.667,33 |
187,11 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0329591720 |
BGF US Dollar Reserve Fund |
BlackRock (Luxembourg) S.A. |
0,84 |
3,82 |
4,43 |
2,98 |
1,46 |
1,12 |
31/mrt/2026 |
3,82 |
4,74 |
4,73 |
1,91 |
-0,20 |
31/mrt/2026 |
0,84 |
1,81 |
13,88 |
15,81 |
15,59 |
16,12 |
31/mrt/2026 |
-0,23 |
0,98 |
4,42 |
4,88 |
4,03 |
31/dec/2025 |
25/okt/2012 |
98.007,12 |
220,88 |
- |
581,35 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0827887273 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,83 |
4,37 |
6,31 |
2,65 |
4,73 |
4,26 |
31/mrt/2026 |
4,37 |
4,69 |
9,94 |
-4,91 |
-0,24 |
31/mrt/2026 |
-1,83 |
-0,72 |
20,14 |
13,97 |
58,70 |
75,09 |
31/mrt/2026 |
5,03 |
-11,89 |
11,38 |
6,20 |
6,43 |
31/dec/2025 |
25/okt/2012 |
1.654,10 |
19,68 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0827886978 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,84 |
4,27 |
6,32 |
2,66 |
4,73 |
4,25 |
31/mrt/2026 |
4,27 |
4,85 |
9,92 |
-4,89 |
-0,26 |
31/mrt/2026 |
-1,84 |
-0,67 |
20,17 |
14,00 |
58,68 |
74,96 |
31/mrt/2026 |
4,98 |
-11,84 |
11,26 |
6,30 |
6,40 |
31/dec/2025 |
25/okt/2012 |
2.584.490,26 |
8,61 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0827888750 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,72 |
40,10 |
18,56 |
21,98 |
9,64 |
4,59 |
31/mrt/2026 |
40,10 |
0,24 |
18,67 |
3,67 |
56,27 |
31/mrt/2026 |
36,72 |
38,72 |
66,66 |
170,00 |
150,92 |
82,79 |
31/mrt/2026 |
42,29 |
40,65 |
4,43 |
2,69 |
9,85 |
31/dec/2025 |
25/okt/2012 |
463.278,25 |
31,25 |
- |
2.691,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0821914370 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-3,68 |
25,55 |
9,85 |
-0,78 |
6,07 |
7,27 |
31/mrt/2026 |
25,55 |
7,53 |
-1,81 |
-11,44 |
-18,07 |
31/mrt/2026 |
-3,68 |
-0,08 |
32,56 |
-3,82 |
80,25 |
156,50 |
31/mrt/2026 |
-5,52 |
-24,12 |
1,74 |
8,64 |
30,67 |
31/dec/2025 |
31/okt/2012 |
142.772.399,79 |
29,98 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0839485744 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,59 |
1,62 |
2,37 |
-0,16 |
-0,14 |
0,02 |
31/mrt/2026 |
1,62 |
3,57 |
1,93 |
-2,91 |
-4,75 |
31/mrt/2026 |
-0,59 |
0,10 |
7,27 |
-0,79 |
-1,38 |
0,30 |
31/mrt/2026 |
-1,58 |
-7,03 |
2,70 |
2,84 |
3,17 |
31/dec/2025 |
07/nov/2012 |
38.440.930,61 |
10,06 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU0849758007 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,26 |
6,22 |
8,56 |
3,86 |
5,04 |
4,82 |
31/mrt/2026 |
6,22 |
7,61 |
11,92 |
-2,91 |
-2,70 |
31/mrt/2026 |
-1,26 |
0,16 |
27,93 |
20,85 |
63,45 |
87,80 |
31/mrt/2026 |
1,93 |
-10,22 |
13,07 |
8,76 |
8,69 |
31/dec/2025 |
14/nov/2012 |
11.661.080,31 |
19,16 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0827890574 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-4,75 |
5,54 |
5,90 |
5,81 |
9,02 |
8,91 |
31/mrt/2026 |
5,54 |
-5,06 |
18,54 |
2,09 |
9,38 |
31/mrt/2026 |
-4,75 |
-2,86 |
18,77 |
32,63 |
137,18 |
212,60 |
31/mrt/2026 |
31,15 |
-21,71 |
21,40 |
9,30 |
7,82 |
31/dec/2025 |
21/nov/2012 |
2.031.451,64 |
33,15 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0859042482 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-3,49 |
26,49 |
10,68 |
-0,03 |
6,87 |
8,00 |
31/mrt/2026 |
26,49 |
8,34 |
-1,07 |
-10,75 |
-17,48 |
31/mrt/2026 |
-3,49 |
0,32 |
35,58 |
-0,14 |
94,36 |
179,30 |
31/mrt/2026 |
-4,79 |
-23,57 |
2,50 |
9,46 |
31,67 |
31/dec/2025 |
28/nov/2012 |
187.326.984,51 |
32,65 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0859044934 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-2,14 |
17,13 |
7,25 |
-0,92 |
5,43 |
7,57 |
31/mrt/2026 |
17,13 |
6,86 |
-1,45 |
-10,29 |
-13,71 |
31/mrt/2026 |
-2,14 |
1,42 |
23,36 |
-4,51 |
69,62 |
164,60 |
31/mrt/2026 |
1,68 |
-19,90 |
-2,25 |
15,31 |
15,06 |
31/dec/2025 |
28/nov/2012 |
23.991.049,36 |
30,48 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0862987244 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-5,34 |
9,35 |
5,35 |
2,57 |
3,97 |
4,49 |
31/mrt/2026 |
9,35 |
-2,39 |
9,54 |
-9,25 |
6,98 |
31/mrt/2026 |
-5,34 |
-3,50 |
16,92 |
13,51 |
47,57 |
79,00 |
31/mrt/2026 |
16,20 |
-16,97 |
11,08 |
4,52 |
12,09 |
31/dec/2025 |
02/jan/2013 |
3.385.539,31 |
19,33 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0843229542 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,73 |
3,73 |
6,50 |
1,06 |
3,50 |
3,01 |
31/mrt/2026 |
3,73 |
6,84 |
9,01 |
-6,44 |
-6,72 |
31/mrt/2026 |
-1,73 |
-0,87 |
20,80 |
5,43 |
41,01 |
47,50 |
31/mrt/2026 |
-2,23 |
-13,04 |
6,23 |
7,33 |
7,91 |
31/dec/2025 |
18/feb/2013 |
55.249.625,61 |
15,06 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0843229971 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,16 |
1,47 |
4,41 |
-0,96 |
1,29 |
1,25 |
31/mrt/2026 |
1,47 |
4,98 |
6,87 |
-9,38 |
-7,61 |
31/mrt/2026 |
-2,16 |
-1,92 |
13,83 |
-4,70 |
13,72 |
17,70 |
31/mrt/2026 |
-3,07 |
-15,52 |
3,85 |
5,65 |
5,43 |
31/dec/2025 |
18/feb/2013 |
526.329,84 |
11,99 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0843231795 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,51 |
4,56 |
7,29 |
1,80 |
4,27 |
3,79 |
31/mrt/2026 |
4,56 |
7,60 |
9,78 |
-5,79 |
-6,04 |
31/mrt/2026 |
-1,51 |
-0,49 |
23,50 |
9,33 |
51,96 |
62,90 |
31/mrt/2026 |
-1,57 |
-12,45 |
7,07 |
8,10 |
8,67 |
31/dec/2025 |
18/feb/2013 |
49.802.564,79 |
16,63 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0871639547 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,89 |
2,77 |
3,59 |
-0,45 |
0,87 |
1,54 |
31/mrt/2026 |
2,77 |
4,02 |
4,00 |
-6,77 |
-5,67 |
31/mrt/2026 |
-0,89 |
-0,24 |
11,17 |
-2,24 |
9,09 |
22,40 |
31/mrt/2026 |
-1,41 |
-14,23 |
6,30 |
2,88 |
4,66 |
31/dec/2025 |
09/jan/2013 |
16.041.931,86 |
12,31 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0871639463 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,21 |
7,86 |
10,40 |
8,00 |
7,04 |
8,51 |
31/mrt/2026 |
7,86 |
9,24 |
14,22 |
1,18 |
7,91 |
31/mrt/2026 |
-2,21 |
3,38 |
34,57 |
46,92 |
97,49 |
194,53 |
31/mrt/2026 |
20,96 |
-11,26 |
14,85 |
8,86 |
17,65 |
31/dec/2025 |
09/jan/2013 |
11.834.302,78 |
18,12 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0871640040 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,30 |
5,20 |
6,85 |
1,75 |
4,09 |
3,95 |
31/mrt/2026 |
5,20 |
5,96 |
9,42 |
-7,39 |
-3,46 |
31/mrt/2026 |
-1,30 |
0,00 |
21,98 |
9,05 |
49,29 |
66,13 |
31/mrt/2026 |
1,79 |
-14,16 |
10,06 |
7,19 |
7,27 |
31/dec/2025 |
20/feb/2013 |
30.619.657,32 |
5,70 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0871640123 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,25 |
7,41 |
6,26 |
1,64 |
3,47 |
3,47 |
31/mrt/2026 |
7,41 |
3,77 |
7,63 |
-8,68 |
-1,00 |
31/mrt/2026 |
-1,25 |
0,43 |
19,97 |
8,46 |
40,68 |
56,34 |
31/mrt/2026 |
5,32 |
-14,47 |
7,78 |
4,97 |
9,57 |
31/dec/2025 |
20/feb/2013 |
92.096.163,45 |
8,18 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0871639976 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,96 |
3,46 |
3,80 |
-0,36 |
1,68 |
2,51 |
31/mrt/2026 |
3,46 |
4,08 |
3,85 |
-6,89 |
-5,67 |
31/mrt/2026 |
-0,96 |
-0,19 |
11,83 |
-1,78 |
18,16 |
38,45 |
31/mrt/2026 |
-2,12 |
-15,97 |
7,23 |
2,28 |
6,10 |
31/dec/2025 |
20/feb/2013 |
21.282.837,42 |
9,64 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0871639620 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,51 |
5,24 |
5,10 |
-1,66 |
1,12 |
2,09 |
31/mrt/2026 |
5,24 |
5,82 |
4,26 |
-7,97 |
-13,94 |
31/mrt/2026 |
-0,51 |
0,21 |
16,11 |
-8,05 |
11,77 |
31,22 |
31/mrt/2026 |
-7,72 |
-17,19 |
4,10 |
5,30 |
8,51 |
31/dec/2025 |
20/feb/2013 |
86.038.413,05 |
8,07 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0871639893 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,53 |
9,60 |
10,33 |
2,15 |
2,87 |
2,94 |
31/mrt/2026 |
9,60 |
6,03 |
15,57 |
-11,96 |
-5,95 |
31/mrt/2026 |
-1,53 |
2,07 |
34,32 |
11,21 |
32,75 |
46,16 |
31/mrt/2026 |
-3,40 |
-18,27 |
13,28 |
6,73 |
13,72 |
31/dec/2025 |
20/feb/2013 |
6.614.692,90 |
7,29 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0871640396 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
5,85 |
6,80 |
2,36 |
4,35 |
4,13 |
31/mrt/2026 |
5,85 |
5,15 |
9,44 |
-6,43 |
-1,40 |
31/mrt/2026 |
-1,28 |
0,33 |
21,81 |
12,38 |
53,09 |
69,95 |
31/mrt/2026 |
4,00 |
-13,32 |
10,61 |
6,27 |
7,64 |
31/dec/2025 |
20/feb/2013 |
45.171.412,10 |
7,83 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0869640077 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,75 |
3,76 |
4,77 |
-0,14 |
1,97 |
2,92 |
31/mrt/2026 |
3,76 |
3,45 |
7,15 |
-7,69 |
-6,45 |
31/mrt/2026 |
-0,75 |
0,27 |
15,02 |
-0,68 |
21,51 |
46,30 |
31/mrt/2026 |
-2,86 |
-15,15 |
10,10 |
3,89 |
4,10 |
31/dec/2025 |
16/jan/2013 |
240.985,25 |
14,73 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0869650977 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,78 |
3,41 |
4,37 |
-0,51 |
1,59 |
2,55 |
31/mrt/2026 |
3,41 |
2,98 |
6,77 |
-8,03 |
-6,78 |
31/mrt/2026 |
-0,78 |
0,07 |
13,70 |
-2,52 |
17,14 |
39,40 |
31/mrt/2026 |
-3,15 |
-15,43 |
9,62 |
3,51 |
3,61 |
31/dec/2025 |
16/jan/2013 |
1.003.207,34 |
14,04 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0875160912 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,15 |
7,91 |
10,41 |
8,00 |
7,04 |
8,55 |
31/mrt/2026 |
7,91 |
9,21 |
14,21 |
1,18 |
7,89 |
31/mrt/2026 |
-2,15 |
3,38 |
34,59 |
46,91 |
97,49 |
195,47 |
31/mrt/2026 |
20,99 |
-11,21 |
14,74 |
8,95 |
17,58 |
31/dec/2025 |
16/jan/2013 |
59.420.724,32 |
18,35 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0880975056 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,74 |
6,59 |
7,13 |
6,00 |
6,35 |
7,41 |
31/mrt/2026 |
6,59 |
0,87 |
14,37 |
-4,36 |
13,81 |
31/mrt/2026 |
-2,74 |
0,09 |
22,97 |
33,85 |
85,08 |
155,44 |
31/mrt/2026 |
26,31 |
-9,65 |
11,39 |
15,09 |
2,99 |
31/dec/2025 |
13/feb/2013 |
15.237.819,51 |
25,03 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0890295032 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-10,07 |
6,11 |
15,48 |
6,77 |
12,83 |
13,52 |
31/mrt/2026 |
6,11 |
-1,00 |
46,61 |
-16,95 |
8,45 |
31/mrt/2026 |
-10,07 |
-10,61 |
54,02 |
38,72 |
234,30 |
427,23 |
31/mrt/2026 |
27,25 |
-36,94 |
47,43 |
38,86 |
-2,78 |
31/dec/2025 |
20/feb/2013 |
1.547.392,01 |
59,36 |
- |
423,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0842063009 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,43 |
6,52 |
5,95 |
-0,32 |
2,41 |
3,82 |
31/mrt/2026 |
6,52 |
2,00 |
9,47 |
-27,62 |
14,35 |
31/mrt/2026 |
-0,43 |
-0,73 |
18,94 |
-1,57 |
26,88 |
63,30 |
31/mrt/2026 |
26,83 |
-29,82 |
11,84 |
-0,91 |
7,47 |
31/dec/2025 |
25/feb/2013 |
61.367.145,12 |
17,67 |
- |
199,52 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0843232173 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,19 |
-3,21 |
3,99 |
0,93 |
2,87 |
3,64 |
31/mrt/2026 |
-3,21 |
6,24 |
9,35 |
-5,20 |
-1,77 |
31/mrt/2026 |
-0,19 |
0,57 |
12,45 |
4,72 |
32,70 |
59,90 |
31/mrt/2026 |
5,20 |
-8,23 |
2,14 |
13,92 |
-4,98 |
31/dec/2025 |
18/feb/2013 |
10.185.233,12 |
16,09 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0903533064 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,49 |
4,04 |
5,09 |
2,63 |
2,48 |
2,38 |
31/mrt/2026 |
4,04 |
5,81 |
5,43 |
0,03 |
-1,92 |
31/mrt/2026 |
-0,49 |
0,65 |
16,06 |
13,86 |
27,74 |
35,85 |
31/mrt/2026 |
-0,35 |
-3,38 |
6,79 |
5,12 |
5,77 |
31/dec/2025 |
13/mrt/2013 |
452.121,78 |
12,40 |
- |
1.992,57 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU0679941160 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,16 |
3,32 |
3,76 |
1,16 |
3,80 |
3,67 |
31/mrt/2026 |
3,32 |
4,79 |
3,19 |
-0,42 |
-4,77 |
31/mrt/2026 |
0,16 |
0,01 |
11,71 |
5,94 |
45,19 |
59,98 |
31/mrt/2026 |
-2,04 |
-4,32 |
2,02 |
6,36 |
3,88 |
31/dec/2025 |
13/mrt/2013 |
174.814.044,56 |
65,18 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
HKD |
LU0690034276 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
2,25 |
9,66 |
3,57 |
0,31 |
3,24 |
2,91 |
31/mrt/2026 |
9,66 |
4,07 |
-2,67 |
-7,71 |
-0,95 |
31/mrt/2026 |
2,25 |
4,11 |
11,09 |
1,55 |
37,49 |
45,28 |
31/mrt/2026 |
0,74 |
-12,01 |
-0,81 |
2,77 |
9,14 |
31/dec/2025 |
20/mrt/2013 |
68.808.315,04 |
74,65 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
CHF |
LU0906886691 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-6,04 |
3,23 |
6,37 |
5,62 |
6,95 |
7,25 |
31/mrt/2026 |
3,23 |
0,33 |
16,19 |
2,88 |
6,18 |
31/mrt/2026 |
-6,04 |
-4,67 |
20,35 |
31,47 |
95,75 |
149,00 |
31/mrt/2026 |
27,79 |
-18,66 |
13,99 |
11,70 |
12,86 |
31/dec/2025 |
20/mrt/2013 |
12.470.718,76 |
26,41 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0278719413 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,79 |
8,70 |
10,12 |
4,59 |
4,81 |
4,39 |
31/mrt/2026 |
8,70 |
6,60 |
15,23 |
-10,63 |
4,87 |
31/mrt/2026 |
-0,79 |
-0,02 |
33,52 |
25,15 |
59,91 |
57,85 |
31/mrt/2026 |
15,21 |
-18,00 |
12,20 |
14,17 |
9,34 |
31/dec/2025 |
19/aug/2015 |
60.939.514,92 |
8,43 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0278463947 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,74 |
5,52 |
5,82 |
2,24 |
2,56 |
2,39 |
31/mrt/2026 |
5,52 |
5,93 |
6,02 |
-3,17 |
-2,67 |
31/mrt/2026 |
-0,74 |
0,68 |
18,51 |
11,69 |
28,78 |
33,80 |
31/mrt/2026 |
0,25 |
-6,82 |
6,25 |
4,71 |
8,19 |
31/dec/2025 |
27/nov/2013 |
34.831.260,92 |
13,52 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0308772333 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,95 |
-1,41 |
-0,40 |
-3,42 |
-1,27 |
-0,85 |
31/mrt/2026 |
-1,41 |
-0,22 |
0,44 |
-8,94 |
-6,59 |
31/mrt/2026 |
-1,95 |
-2,27 |
-1,20 |
-15,96 |
-12,04 |
-9,40 |
31/mrt/2026 |
-2,36 |
-15,72 |
2,65 |
-1,08 |
0,44 |
31/dec/2025 |
01/okt/2014 |
3.915.432,49 |
9,07 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0784384363 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,96 |
5,25 |
5,18 |
1,28 |
3,16 |
2,75 |
31/mrt/2026 |
5,25 |
2,82 |
7,52 |
-7,80 |
-0,65 |
31/mrt/2026 |
-1,96 |
-0,89 |
16,35 |
6,57 |
36,52 |
42,18 |
31/mrt/2026 |
5,82 |
-13,70 |
7,85 |
4,24 |
7,78 |
31/dec/2025 |
03/apr/2013 |
5.589.478,61 |
7,18 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| ISDE |
USD |
IE00B27YCP72 |
iShares MSCI EM Islamic UCITS ETF |
iShares II plc |
6,82 |
45,63 |
16,97 |
5,12 |
8,58 |
1,82 |
31/mrt/2026 |
45,63 |
-5,66 |
16,49 |
-14,14 |
-6,59 |
31/mrt/2026 |
6,82 |
18,43 |
60,05 |
28,36 |
127,67 |
39,24 |
31/mrt/2026 |
2,97 |
-22,10 |
14,03 |
-3,89 |
40,69 |
31/dec/2025 |
07/dec/2007 |
608.388.042,17 |
31,98 |
- |
608,39 |
01/mei/2026 |
Distributie |
| ISUS |
USD |
IE00B296QM64 |
iShares MSCI USA Islamic UCITS ETF |
iShares II plc |
-0,80 |
24,17 |
12,98 |
10,46 |
10,41 |
8,01 |
31/mrt/2026 |
24,17 |
-4,59 |
21,71 |
-0,60 |
14,72 |
31/mrt/2026 |
-0,80 |
2,24 |
44,20 |
64,43 |
169,16 |
309,89 |
31/mrt/2026 |
28,89 |
-11,66 |
24,94 |
8,88 |
16,36 |
31/dec/2025 |
07/dec/2007 |
411.212.302,11 |
92,96 |
- |
411,21 |
01/mei/2026 |
Distributie |
| ISWD |
USD |
IE00B27YCN58 |
iShares MSCI World Islamic UCITS ETF |
iShares II plc |
0,17 |
24,27 |
12,56 |
9,47 |
9,68 |
6,16 |
31/mrt/2026 |
24,27 |
-3,67 |
19,13 |
-1,69 |
12,15 |
31/mrt/2026 |
0,17 |
3,86 |
42,60 |
57,22 |
151,88 |
198,67 |
31/mrt/2026 |
21,51 |
-11,79 |
22,94 |
5,26 |
19,53 |
31/dec/2025 |
07/dec/2007 |
1.206.182.358,36 |
63,01 |
- |
1.206,18 |
01/mei/2026 |
Distributie |
| IBCX |
EUR |
IE0032523478 |
iShares € Corp Bond Large Cap UCITS ETF |
iShares plc |
-1,04 |
1,88 |
3,89 |
-0,57 |
0,65 |
2,90 |
31/mrt/2026 |
1,88 |
3,67 |
6,17 |
-8,00 |
-5,81 |
31/mrt/2026 |
-1,04 |
-0,78 |
12,14 |
-2,82 |
6,65 |
93,18 |
31/mrt/2026 |
-1,61 |
-14,33 |
7,82 |
3,90 |
2,86 |
31/dec/2025 |
17/mrt/2003 |
1.854.676.189,82 |
123,81 |
- |
1.854,68 |
01/mei/2026 |
Distributie |
| IAPD |
USD |
IE00B14X4T88 |
iShares Asia Pacific Dividend UCITS ETF |
iShares plc |
7,55 |
40,09 |
18,54 |
9,36 |
6,94 |
6,23 |
31/mrt/2026 |
40,09 |
4,01 |
14,31 |
-5,16 |
-0,95 |
31/mrt/2026 |
7,55 |
14,82 |
66,56 |
56,45 |
95,61 |
231,52 |
31/mrt/2026 |
4,00 |
-2,26 |
13,75 |
5,95 |
29,70 |
31/dec/2025 |
02/jun/2006 |
662.001.069,18 |
31,62 |
- |
665,22 |
01/mei/2026 |
Distributie |
| BRIC |
USD |
IE00B1W57M07 |
iShares BIC 50 UCITS ETF |
iShares II plc |
-7,68 |
-0,69 |
6,61 |
-6,95 |
3,47 |
1,55 |
31/mrt/2026 |
-0,69 |
41,66 |
-13,86 |
-7,60 |
-37,72 |
31/mrt/2026 |
-7,68 |
-15,22 |
21,18 |
-30,26 |
40,66 |
33,90 |
31/mrt/2026 |
-23,72 |
-28,54 |
-7,39 |
13,96 |
28,69 |
31/dec/2025 |
20/apr/2007 |
132.975.471,42 |
24,21 |
- |
132,98 |
01/mei/2026 |
Distributie |
| IAEX |
EUR |
IE00B0M62Y33 |
iShares AEX UCITS ETF |
iShares plc |
1,09 |
9,06 |
10,66 |
8,75 |
10,66 |
6,82 |
31/mrt/2026 |
9,06 |
4,18 |
19,25 |
6,64 |
5,29 |
31/mrt/2026 |
1,09 |
2,29 |
35,49 |
52,12 |
175,37 |
283,06 |
31/mrt/2026 |
29,91 |
-11,83 |
16,79 |
14,15 |
10,62 |
31/dec/2025 |
18/nov/2005 |
694.711.111,68 |
101,56 |
- |
758,23 |
01/mei/2026 |
Distributie |
| IBTS |
USD |
IE00B14X4S71 |
iShares $ Treasury Bond 1-3yr UCITS ETF |
iShares plc |
0,26 |
3,78 |
4,05 |
1,82 |
1,73 |
2,00 |
31/mrt/2026 |
3,78 |
5,47 |
2,90 |
0,23 |
-3,07 |
31/mrt/2026 |
0,26 |
1,42 |
12,64 |
9,42 |
18,76 |
48,21 |
31/mrt/2026 |
-0,63 |
-3,85 |
4,30 |
4,06 |
5,20 |
31/dec/2025 |
02/jun/2006 |
2.424.606.392,59 |
127,41 |
- |
11.920,67 |
01/mei/2026 |
Distributie |
| IBTM |
USD |
IE00B1FZS798 |
iShares $ Treasury Bond 7-10yr UCITS ETF |
iShares II plc |
-0,11 |
4,10 |
2,42 |
-0,54 |
0,87 |
3,28 |
31/mrt/2026 |
4,10 |
4,77 |
-1,48 |
-5,65 |
-3,99 |
31/mrt/2026 |
-0,11 |
0,87 |
7,45 |
-2,66 |
9,03 |
86,56 |
31/mrt/2026 |
-3,19 |
-15,08 |
3,72 |
-0,50 |
8,27 |
31/dec/2025 |
08/dec/2006 |
3.378.956.614,84 |
174,56 |
- |
6.822,56 |
01/mei/2026 |
Distributie |
| SGEA |
USD |
IE00B6QGFW01 |
iShares Emerging Asia Local Govt Bond UCITS ETF |
iShares III plc |
-4,66 |
-0,74 |
1,47 |
0,07 |
1,49 |
1,39 |
31/mrt/2026 |
-0,74 |
5,83 |
-0,55 |
-2,40 |
-1,56 |
31/mrt/2026 |
-4,66 |
-4,54 |
4,47 |
0,37 |
15,99 |
21,38 |
31/mrt/2026 |
-4,24 |
-8,18 |
5,49 |
1,45 |
5,89 |
31/dec/2025 |
02/mrt/2012 |
44.065.253,51 |
84,18 |
- |
53,94 |
01/mei/2026 |
Distributie |
| SEML |
USD |
IE00B5M4WH52 |
iShares J.P. Morgan EM Local Govt Bond UCITS ETF |
iShares III plc |
-2,56 |
10,82 |
6,09 |
1,42 |
1,64 |
-0,07 |
31/mrt/2026 |
10,82 |
3,22 |
4,39 |
-1,20 |
-9,07 |
31/mrt/2026 |
-2,56 |
0,50 |
19,42 |
7,29 |
17,68 |
-1,05 |
31/mrt/2026 |
-10,36 |
-11,15 |
12,08 |
-3,11 |
18,42 |
31/dec/2025 |
20/jun/2011 |
5.206.510.989,10 |
45,92 |
- |
5.714,05 |
01/mei/2026 |
Distributie |
| IEAG |
EUR |
IE00B3DKXQ41 |
iShares € Aggregate Bond ESG SRI UCITS ETF |
iShares III plc |
-0,70 |
1,36 |
2,57 |
-2,06 |
-0,20 |
2,10 |
31/mrt/2026 |
1,36 |
1,90 |
4,48 |
-10,71 |
-6,48 |
31/mrt/2026 |
-0,70 |
-0,49 |
7,92 |
-9,89 |
-2,01 |
42,54 |
31/mrt/2026 |
-3,06 |
-17,31 |
7,09 |
2,46 |
1,16 |
31/dec/2025 |
06/mrt/2009 |
1.591.817.757,24 |
107,09 |
- |
1.748,17 |
01/mei/2026 |
Distributie |
| IEAC |
EUR |
IE00B3F81R35 |
iShares Core € Corp Bond UCITS ETF |
iShares III plc |
-1,03 |
2,05 |
4,27 |
-0,22 |
0,96 |
3,30 |
31/mrt/2026 |
2,05 |
4,15 |
6,67 |
-7,74 |
-5,43 |
31/mrt/2026 |
-1,03 |
-0,71 |
13,38 |
-1,08 |
10,06 |
74,05 |
31/mrt/2026 |
-1,15 |
-13,86 |
8,04 |
4,58 |
3,13 |
31/dec/2025 |
06/mrt/2009 |
8.959.054.312,90 |
118,91 |
- |
13.291,87 |
01/mei/2026 |
Distributie |
| SE15 |
EUR |
IE00B4L60045 |
iShares € Corp Bond 1-5yr UCITS ETF |
iShares III plc |
-0,83 |
1,82 |
4,00 |
0,82 |
0,93 |
2,01 |
31/mrt/2026 |
1,82 |
4,81 |
5,42 |
-4,52 |
-3,03 |
31/mrt/2026 |
-0,83 |
-0,37 |
12,50 |
4,16 |
9,68 |
38,81 |
31/mrt/2026 |
-0,31 |
-8,23 |
6,19 |
4,59 |
3,35 |
31/dec/2025 |
25/sep/2009 |
3.569.588.677,01 |
106,63 |
- |
4.548,74 |
01/mei/2026 |
Distributie |
| EEXF |
EUR |
IE00B4L5ZG21 |
iShares € Corp Bond ex-Financials UCITS ETF |
iShares III plc |
-1,08 |
1,69 |
3,65 |
-0,56 |
0,76 |
2,43 |
31/mrt/2026 |
1,69 |
3,53 |
5,78 |
-7,47 |
-5,64 |
31/mrt/2026 |
-1,08 |
-0,83 |
11,37 |
-2,77 |
7,84 |
48,69 |
31/mrt/2026 |
-1,40 |
-13,97 |
7,77 |
3,83 |
2,63 |
31/dec/2025 |
25/sep/2009 |
975.675.925,01 |
108,33 |
- |
1.008,96 |
01/mei/2026 |
Distributie |
| EUNS |
EUR |
IE00B4L5ZY03 |
iShares € Corp Bond ex-Financials 1-5Yr ESG SRI UCITS ETF |
iShares III plc |
-0,87 |
1,41 |
3,24 |
0,48 |
0,68 |
1,76 |
31/mrt/2026 |
1,41 |
4,33 |
4,01 |
-4,12 |
-2,94 |
31/mrt/2026 |
-0,87 |
-0,45 |
10,05 |
2,42 |
6,97 |
33,37 |
31/mrt/2026 |
-0,35 |
-7,74 |
5,18 |
3,77 |
2,92 |
31/dec/2025 |
25/sep/2009 |
1.242.528.541,36 |
105,84 |
- |
1.295,34 |
01/mei/2026 |
Distributie |
| IRCP |
EUR |
IE00B6X2VY59 |
iShares € Corp Bond Interest Rate Hedged ESG SRI UCITS ETF |
iShares V plc |
-0,21 |
2,88 |
5,31 |
2,46 |
1,56 |
1,42 |
31/mrt/2026 |
2,88 |
5,45 |
7,66 |
-1,14 |
-2,22 |
31/mrt/2026 |
-0,21 |
0,53 |
16,80 |
12,91 |
16,77 |
20,93 |
31/mrt/2026 |
-0,27 |
-3,10 |
5,44 |
6,66 |
4,24 |
31/dec/2025 |
22/okt/2012 |
206.755.943,14 |
99,40 |
- |
206,76 |
01/mei/2026 |
Distributie |
| IBGS |
EUR |
IE00B14X4Q57 |
iShares € Govt Bond 1-3yr UCITS ETF |
iShares plc |
-0,39 |
1,18 |
2,58 |
0,68 |
0,32 |
1,62 |
31/mrt/2026 |
1,18 |
3,91 |
2,66 |
-2,69 |
-1,50 |
31/mrt/2026 |
-0,39 |
0,08 |
7,94 |
3,46 |
3,21 |
37,42 |
31/mrt/2026 |
-0,85 |
-4,28 |
3,51 |
3,09 |
2,30 |
31/dec/2025 |
05/jun/2006 |
1.846.102.761,18 |
140,43 |
- |
1.846,96 |
01/mei/2026 |
Distributie |
| IBGX |
EUR |
IE00B1FZS681 |
iShares € Govt Bond 3-5yr UCITS ETF |
iShares II plc |
-0,83 |
1,09 |
2,50 |
-0,57 |
0,12 |
2,18 |
31/mrt/2026 |
1,09 |
3,49 |
2,92 |
-6,02 |
-3,95 |
31/mrt/2026 |
-0,83 |
-0,47 |
7,67 |
-2,80 |
1,17 |
51,75 |
31/mrt/2026 |
-1,43 |
-10,20 |
5,31 |
2,26 |
2,37 |
31/dec/2025 |
08/dec/2006 |
2.187.686.405,23 |
160,47 |
- |
2.187,69 |
01/mei/2026 |
Distributie |
| IBGM |
EUR |
IE00B1FZS806 |
iShares € Govt Bond 7-10yr UCITS ETF |
iShares II plc |
-0,90 |
1,73 |
2,32 |
-2,69 |
-0,26 |
3,00 |
31/mrt/2026 |
1,73 |
0,91 |
4,36 |
-11,90 |
-7,57 |
31/mrt/2026 |
-0,90 |
-0,57 |
7,13 |
-12,77 |
-2,56 |
76,94 |
31/mrt/2026 |
-3,29 |
-20,10 |
8,92 |
1,21 |
1,54 |
31/dec/2025 |
08/dec/2006 |
1.019.052.275,86 |
185,54 |
- |
1.019,05 |
01/mei/2026 |
Distributie |
| IBCI |
EUR |
IE00B0M62X26 |
iShares € Inflation Linked Govt Bond UCITS ETF |
iShares plc |
1,56 |
2,97 |
1,64 |
0,50 |
1,47 |
2,01 |
31/mrt/2026 |
2,97 |
-0,14 |
2,13 |
-8,27 |
6,43 |
31/mrt/2026 |
1,56 |
1,68 |
5,01 |
2,52 |
15,70 |
49,93 |
31/mrt/2026 |
6,08 |
-9,73 |
5,87 |
-0,04 |
0,83 |
31/dec/2025 |
18/nov/2005 |
1.834.455.833,17 |
236,85 |
- |
1.834,46 |
01/mei/2026 |
Kapitalisatie |
| IEGA |
EUR |
IE00B4WXJJ64 |
iShares Core € Govt Bond UCITS ETF |
iShares III plc |
-0,63 |
1,25 |
2,06 |
-2,60 |
-0,38 |
1,99 |
31/mrt/2026 |
1,25 |
1,14 |
3,81 |
-11,84 |
-6,44 |
31/mrt/2026 |
-0,63 |
-0,37 |
6,30 |
-12,32 |
-3,77 |
39,72 |
31/mrt/2026 |
-3,53 |
-18,52 |
7,06 |
1,75 |
0,61 |
31/dec/2025 |
17/apr/2009 |
4.929.621.038,51 |
108,81 |
- |
5.602,43 |
01/mei/2026 |
Distributie |
| IGIL |
USD |
IE00B3B8PX14 |
iShares Global Inflation Linked Govt Bond UCITS ETF |
iShares III plc |
-0,26 |
4,75 |
1,88 |
-1,72 |
0,99 |
1,51 |
31/mrt/2026 |
4,75 |
1,70 |
-0,74 |
-14,84 |
1,80 |
31/mrt/2026 |
-0,26 |
0,36 |
5,75 |
-8,32 |
10,37 |
30,29 |
31/mrt/2026 |
2,92 |
-22,02 |
5,28 |
-3,27 |
8,64 |
31/dec/2025 |
01/aug/2008 |
497.532.982,61 |
167,79 |
- |
1.471,47 |
01/mei/2026 |
Kapitalisatie |
| IITB |
EUR |
IE00B7LW6Y90 |
iShares Italy Govt Bond UCITS ETF |
iShares V plc |
-1,55 |
2,25 |
3,91 |
-1,25 |
0,72 |
3,19 |
31/mrt/2026 |
2,25 |
3,41 |
6,10 |
-10,34 |
-6,64 |
31/mrt/2026 |
-1,55 |
-0,69 |
12,19 |
-6,08 |
7,43 |
54,60 |
31/mrt/2026 |
-3,18 |
-17,39 |
9,15 |
5,05 |
3,04 |
31/dec/2025 |
08/mei/2012 |
513.311.147,08 |
150,16 |
- |
1.013,86 |
01/mei/2026 |
Distributie |
| IS0P |
EUR |
IE00B428Z604 |
iShares Spain Govt Bond UCITS ETF |
iShares V plc |
-0,57 |
2,00 |
2,79 |
-2,01 |
0,42 |
2,93 |
31/mrt/2026 |
2,00 |
2,29 |
4,08 |
-11,20 |
-6,32 |
31/mrt/2026 |
-0,57 |
-0,08 |
8,59 |
-9,67 |
4,32 |
49,44 |
31/mrt/2026 |
-3,24 |
-17,88 |
6,74 |
3,12 |
1,44 |
31/dec/2025 |
08/mei/2012 |
215.279.043,99 |
150,76 |
- |
251,62 |
01/mei/2026 |
Distributie |
| SUAG |
USD |
IE00B44CGS96 |
iShares US Aggregate Bond UCITS ETF |
iShares II plc |
-0,13 |
4,14 |
3,40 |
0,08 |
1,43 |
1,79 |
31/mrt/2026 |
4,14 |
4,65 |
1,45 |
-4,95 |
-4,43 |
31/mrt/2026 |
-0,13 |
0,95 |
10,55 |
0,42 |
15,25 |
29,42 |
31/mrt/2026 |
-1,90 |
-13,25 |
5,48 |
1,00 |
7,12 |
31/dec/2025 |
13/sep/2011 |
1.161.380.433,34 |
94,83 |
- |
5.961,99 |
01/mei/2026 |
Distributie |
| IGLO |
USD |
IE00B3F81K65 |
iShares Global Govt Bond UCITS ETF |
iShares III plc |
-1,44 |
2,08 |
0,68 |
-3,08 |
-0,65 |
0,75 |
31/mrt/2026 |
2,08 |
1,78 |
-1,77 |
-9,41 |
-7,51 |
31/mrt/2026 |
-1,44 |
-1,72 |
2,06 |
-14,49 |
-6,35 |
13,62 |
31/mrt/2026 |
-6,60 |
-18,12 |
4,32 |
-3,54 |
6,45 |
31/dec/2025 |
06/mrt/2009 |
1.227.340.276,03 |
89,38 |
- |
3.201,70 |
01/mei/2026 |
Distributie |
| SEDY |
USD |
IE00B652H904 |
iShares EM Dividend UCITS ETF |
iShares V plc |
9,61 |
32,65 |
20,77 |
5,40 |
7,21 |
3,98 |
31/mrt/2026 |
32,65 |
14,08 |
16,41 |
-17,78 |
-10,18 |
31/mrt/2026 |
9,61 |
16,95 |
76,16 |
30,09 |
100,65 |
75,04 |
31/mrt/2026 |
10,81 |
-30,70 |
20,33 |
6,66 |
27,25 |
31/dec/2025 |
25/nov/2011 |
1.412.231.375,94 |
19,45 |
- |
1.412,23 |
01/mei/2026 |
Distributie |
| EUE |
EUR |
IE0008471009 |
iShares Core EURO STOXX 50 UCITS ETF EUR (Dist) |
iShares II plc |
-3,53 |
9,17 |
12,09 |
10,38 |
9,60 |
3,24 |
31/mrt/2026 |
9,17 |
6,32 |
21,34 |
14,07 |
2,01 |
31/mrt/2026 |
-3,53 |
1,40 |
40,83 |
63,87 |
150,19 |
129,21 |
31/mrt/2026 |
23,98 |
-9,04 |
22,79 |
11,53 |
21,77 |
31/dec/2025 |
03/apr/2000 |
5.373.888.837,98 |
60,26 |
- |
5.373,89 |
01/mei/2026 |
Distributie |
| IDVY |
EUR |
IE00B0M62S72 |
iShares Euro Dividend UCITS ETF |
iShares plc |
-0,73 |
20,52 |
17,72 |
8,25 |
6,72 |
4,66 |
31/mrt/2026 |
20,52 |
19,14 |
13,60 |
-7,17 |
-1,86 |
31/mrt/2026 |
-0,73 |
5,51 |
63,13 |
48,61 |
91,54 |
153,27 |
31/mrt/2026 |
24,03 |
-13,59 |
4,50 |
8,34 |
42,00 |
31/dec/2025 |
28/okt/2005 |
1.453.468.779,43 |
24,96 |
- |
1.457,07 |
01/mei/2026 |
Distributie |
| DJSC |
EUR |
IE00B02KXM00 |
iShares EURO STOXX Small UCITS ETF |
iShares plc |
-3,25 |
13,92 |
6,32 |
4,35 |
7,69 |
7,14 |
31/mrt/2026 |
13,92 |
-1,40 |
6,99 |
-4,36 |
7,62 |
31/mrt/2026 |
-3,25 |
2,63 |
20,19 |
23,72 |
109,73 |
338,51 |
31/mrt/2026 |
21,68 |
-15,53 |
13,93 |
-3,20 |
21,84 |
31/dec/2025 |
29/okt/2004 |
437.652.612,93 |
51,39 |
- |
437,65 |
01/mei/2026 |
Distributie |
| ISF |
GBP |
IE0005042456 |
iShares Core FTSE 100 UCITS ETF |
iShares plc |
3,39 |
22,48 |
14,00 |
12,59 |
9,09 |
5,37 |
31/mrt/2026 |
22,48 |
11,74 |
8,24 |
5,26 |
16,01 |
31/mrt/2026 |
3,39 |
10,46 |
48,14 |
80,90 |
138,67 |
288,19 |
31/mrt/2026 |
18,31 |
4,62 |
7,80 |
9,50 |
25,66 |
31/dec/2025 |
27/apr/2000 |
15.337.969.247,26 |
10,13 |
- |
15.545,74 |
01/mei/2026 |
Distributie |
| FXC |
USD |
IE00B02KXK85 |
iShares China Large Cap UCITS ETF |
iShares plc |
-8,64 |
0,86 |
8,54 |
-3,05 |
2,86 |
5,66 |
31/mrt/2026 |
0,86 |
51,32 |
-16,22 |
-7,29 |
-27,75 |
31/mrt/2026 |
-8,64 |
-14,14 |
27,87 |
-14,34 |
32,59 |
225,62 |
31/mrt/2026 |
-20,70 |
-20,01 |
-13,57 |
31,03 |
28,16 |
31/dec/2025 |
21/okt/2004 |
925.792.502,52 |
103,89 |
- |
963,50 |
01/mei/2026 |
Distributie |
| IASP |
USD |
IE00B1FZS244 |
iShares Asia Property Yield UCITS ETF |
iShares II plc |
-4,67 |
16,75 |
3,55 |
-0,96 |
2,14 |
2,84 |
31/mrt/2026 |
16,75 |
-2,33 |
-2,61 |
-12,04 |
-2,43 |
31/mrt/2026 |
-4,67 |
-3,47 |
11,04 |
-4,70 |
23,57 |
72,36 |
31/mrt/2026 |
4,52 |
-11,98 |
-2,08 |
-10,07 |
30,50 |
31/dec/2025 |
20/okt/2006 |
212.812.026,70 |
23,24 |
- |
239,91 |
01/mei/2026 |
Distributie |
| IWDP |
USD |
IE00B1FZS350 |
iShares Developed Markets Property Yield UCITS ETF |
iShares II plc |
0,95 |
6,99 |
6,16 |
1,45 |
2,66 |
3,11 |
31/mrt/2026 |
6,99 |
5,11 |
6,39 |
-21,36 |
14,19 |
31/mrt/2026 |
0,95 |
-0,27 |
19,65 |
7,44 |
29,97 |
81,52 |
31/mrt/2026 |
25,18 |
-24,33 |
8,92 |
1,00 |
8,24 |
31/dec/2025 |
20/okt/2006 |
1.209.781.396,47 |
26,02 |
- |
1.664,95 |
01/mei/2026 |
Distributie |
| IUSP |
USD |
IE00B1FZSF77 |
iShares US Property Yield UCITS ETF |
iShares II plc |
4,41 |
4,13 |
7,15 |
4,01 |
3,74 |
4,19 |
31/mrt/2026 |
4,13 |
9,14 |
8,27 |
-20,58 |
24,55 |
31/mrt/2026 |
4,41 |
1,72 |
23,04 |
21,70 |
44,38 |
121,99 |
31/mrt/2026 |
40,93 |
-24,51 |
11,41 |
7,05 |
0,60 |
31/dec/2025 |
03/nov/2006 |
650.346.305,00 |
32,65 |
- |
672,55 |
01/mei/2026 |
Distributie |
| IMIB |
EUR |
IE00B1XNH568 |
iShares FTSE MIB UCITS ETF EUR (Dist) |
iShares II plc |
-1,10 |
21,92 |
23,35 |
17,33 |
13,23 |
3,51 |
31/mrt/2026 |
21,92 |
15,07 |
33,78 |
13,14 |
4,69 |
31/mrt/2026 |
-1,10 |
5,15 |
87,69 |
122,32 |
246,34 |
90,70 |
31/mrt/2026 |
26,87 |
-9,72 |
33,79 |
18,39 |
37,73 |
31/dec/2025 |
06/jul/2007 |
157.158.035,66 |
29,46 |
- |
157,16 |
01/mei/2026 |
Distributie |
| IGLT |
GBP |
IE00B1FZSB30 |
iShares Core UK Gilts UCITS ETF |
iShares II plc |
-1,87 |
2,51 |
0,41 |
-4,26 |
-0,80 |
2,26 |
31/mrt/2026 |
2,51 |
-1,19 |
-0,05 |
-16,26 |
-5,14 |
31/mrt/2026 |
-1,87 |
1,19 |
1,24 |
-19,58 |
-7,73 |
53,93 |
31/mrt/2026 |
-5,21 |
-23,83 |
3,68 |
-3,34 |
5,05 |
31/dec/2025 |
01/dec/2006 |
3.184.933.269,83 |
9,74 |
- |
4.123,12 |
01/mei/2026 |
Distributie |
| IPRP |
EUR |
IE00B0M63284 |
iShares European Property Yield UCITS ETF |
iShares plc |
-1,86 |
7,08 |
10,44 |
-2,49 |
0,51 |
4,19 |
31/mrt/2026 |
7,08 |
3,04 |
22,08 |
-37,57 |
4,85 |
31/mrt/2026 |
-1,86 |
-1,55 |
34,70 |
-11,83 |
5,18 |
131,00 |
31/mrt/2026 |
8,72 |
-37,81 |
18,28 |
-0,05 |
8,33 |
31/dec/2025 |
04/nov/2005 |
909.483.362,52 |
31,36 |
- |
1.097,75 |
01/mei/2026 |
Distributie |
| INFR |
USD |
IE00B1FZS467 |
iShares Global Infrastructure UCITS ETF |
iShares II plc |
9,44 |
16,89 |
10,86 |
6,81 |
7,38 |
5,00 |
31/mrt/2026 |
16,89 |
12,76 |
3,38 |
-10,93 |
14,56 |
31/mrt/2026 |
9,44 |
9,42 |
36,25 |
39,02 |
103,82 |
158,05 |
31/mrt/2026 |
16,60 |
-6,76 |
0,51 |
8,67 |
12,51 |
31/dec/2025 |
20/okt/2006 |
2.350.512.491,89 |
39,94 |
- |
2.576,57 |
01/mei/2026 |
Distributie |
| CORP |
USD |
IE00B7J7TB45 |
iShares Global Corp Bond UCITS ETF |
iShares plc |
-1,33 |
5,82 |
5,13 |
0,26 |
2,17 |
2,02 |
31/mrt/2026 |
5,82 |
4,59 |
5,00 |
-7,08 |
-6,20 |
31/mrt/2026 |
-1,33 |
-0,56 |
16,20 |
1,29 |
23,90 |
31,02 |
31/mrt/2026 |
-3,11 |
-16,84 |
9,60 |
0,95 |
10,24 |
31/dec/2025 |
24/sep/2012 |
1.990.596.654,52 |
89,65 |
- |
4.438,35 |
01/mei/2026 |
Distributie |
| HYLD |
USD |
IE00B74DQ490 |
iShares Global High Yield Corp Bond UCITS ETF |
iShares plc |
-1,89 |
8,81 |
8,19 |
3,03 |
4,62 |
3,98 |
31/mrt/2026 |
8,81 |
6,76 |
9,02 |
-4,27 |
-4,25 |
31/mrt/2026 |
-1,89 |
-0,83 |
26,64 |
16,09 |
57,04 |
68,63 |
31/mrt/2026 |
0,46 |
-12,51 |
13,44 |
2,95 |
14,63 |
31/dec/2025 |
13/nov/2012 |
958.187.410,46 |
90,01 |
- |
3.100,52 |
01/mei/2026 |
Distributie |
| SEMB |
USD |
IE00B2NPKV68 |
iShares J.P. Morgan $ EM Bond UCITS ETF |
iShares II plc |
-2,03 |
9,00 |
8,59 |
1,98 |
3,26 |
4,73 |
31/mrt/2026 |
9,00 |
6,35 |
10,45 |
-7,98 |
-6,39 |
31/mrt/2026 |
-2,03 |
0,93 |
28,04 |
10,30 |
37,86 |
131,16 |
31/mrt/2026 |
-2,46 |
-17,98 |
10,60 |
5,99 |
13,58 |
31/dec/2025 |
15/feb/2008 |
4.002.946.771,53 |
92,49 |
- |
7.675,93 |
01/mei/2026 |
Distributie |
| LQDE |
USD |
IE0032895942 |
iShares $ Corp Bond UCITS ETF |
iShares plc |
-0,64 |
4,73 |
4,25 |
0,18 |
2,63 |
3,77 |
31/mrt/2026 |
4,73 |
4,15 |
3,87 |
-6,67 |
-4,55 |
31/mrt/2026 |
-0,64 |
-0,15 |
13,29 |
0,92 |
29,63 |
133,01 |
31/mrt/2026 |
-1,60 |
-18,04 |
9,26 |
0,90 |
7,97 |
31/dec/2025 |
16/mei/2003 |
3.682.114.727,55 |
101,58 |
- |
8.864,69 |
01/mei/2026 |
Distributie |
| SHYU |
USD |
IE00B4PY7Y77 |
iShares $ High Yield Corp Bond UCITS ETF |
iShares II plc |
-0,71 |
6,85 |
7,71 |
3,88 |
5,27 |
5,28 |
31/mrt/2026 |
6,85 |
7,53 |
8,77 |
-2,39 |
-0,83 |
31/mrt/2026 |
-0,71 |
0,77 |
24,97 |
20,96 |
67,19 |
111,43 |
31/mrt/2026 |
4,26 |
-9,06 |
10,75 |
6,78 |
9,43 |
31/dec/2025 |
13/sep/2011 |
2.464.287.575,91 |
95,52 |
- |
5.970,34 |
01/mei/2026 |
Distributie |
| ICOV |
EUR |
IE00B3B8Q275 |
iShares € Covered Bond UCITS ETF |
iShares III plc |
-0,48 |
1,29 |
2,98 |
-1,13 |
-0,15 |
2,22 |
31/mrt/2026 |
1,29 |
3,69 |
3,98 |
-8,02 |
-5,95 |
31/mrt/2026 |
-0,48 |
-0,27 |
9,21 |
-5,53 |
-1,53 |
47,35 |
31/mrt/2026 |
-2,34 |
-13,38 |
5,45 |
3,15 |
2,12 |
31/dec/2025 |
01/aug/2008 |
1.553.807.640,48 |
140,77 |
- |
1.553,81 |
01/mei/2026 |
Distributie |
| IHYG |
EUR |
IE00B66F4759 |
iShares € High Yield Corp Bond UCITS ETF |
iShares plc |
-1,73 |
2,36 |
5,94 |
2,32 |
3,03 |
4,19 |
31/mrt/2026 |
2,36 |
6,57 |
9,00 |
-3,11 |
-2,66 |
31/mrt/2026 |
-1,73 |
-1,03 |
18,90 |
12,15 |
34,76 |
89,42 |
31/mrt/2026 |
2,97 |
-9,72 |
11,33 |
6,67 |
4,80 |
31/dec/2025 |
03/sep/2010 |
4.850.197.807,71 |
90,55 |
- |
6.934,68 |
01/mei/2026 |
Distributie |
| EMCP |
USD |
IE00B6TLBW47 |
iShares J.P. Morgan $ EM Corp Bond UCITS ETF |
iShares V plc |
-0,55 |
5,39 |
6,84 |
2,02 |
3,91 |
3,74 |
31/mrt/2026 |
5,39 |
7,01 |
8,13 |
-2,73 |
-6,83 |
31/mrt/2026 |
-0,55 |
0,60 |
21,95 |
10,52 |
46,69 |
66,85 |
31/mrt/2026 |
-0,31 |
-12,12 |
8,04 |
6,57 |
8,48 |
31/dec/2025 |
17/apr/2012 |
1.000.579.208,31 |
90,29 |
- |
3.050,67 |
01/mei/2026 |
Distributie |
| IFFF |
USD |
IE00B0M63730 |
iShares MSCI AC Far East ex-Japan UCITS ETF |
iShares plc |
2,22 |
38,83 |
15,44 |
2,58 |
7,80 |
7,39 |
31/mrt/2026 |
38,83 |
13,96 |
-2,77 |
-8,75 |
-19,10 |
31/mrt/2026 |
2,22 |
6,34 |
53,84 |
13,56 |
112,01 |
329,20 |
31/mrt/2026 |
-8,92 |
-21,94 |
2,30 |
11,66 |
39,91 |
31/dec/2025 |
28/okt/2005 |
1.679.873.046,14 |
87,55 |
- |
1.786,98 |
01/mei/2026 |
Distributie |
| SSAC |
USD |
IE00B6R52259 |
iShares MSCI ACWI UCITS ETF |
iShares V plc |
-3,17 |
20,11 |
16,61 |
9,58 |
11,27 |
10,36 |
31/mrt/2026 |
20,11 |
7,13 |
23,23 |
-7,32 |
7,54 |
31/mrt/2026 |
-3,17 |
0,02 |
58,56 |
58,03 |
190,81 |
315,38 |
31/mrt/2026 |
18,71 |
-18,19 |
22,35 |
17,35 |
22,41 |
31/dec/2025 |
21/okt/2011 |
30.424.300.135,76 |
116,13 |
- |
31.527,82 |
01/mei/2026 |
Kapitalisatie |
| IBZL |
USD |
IE00B0M63516 |
iShares MSCI Brazil UCITS ETF USD (Dist) |
iShares plc |
18,85 |
54,64 |
18,17 |
10,33 |
8,54 |
4,70 |
31/mrt/2026 |
54,64 |
-14,89 |
25,40 |
-19,85 |
23,57 |
31/mrt/2026 |
18,85 |
26,78 |
65,03 |
63,46 |
126,99 |
154,80 |
31/mrt/2026 |
-18,21 |
12,58 |
31,10 |
-30,91 |
48,10 |
31/dec/2025 |
18/nov/2005 |
537.823.889,74 |
32,01 |
- |
537,82 |
01/mei/2026 |
Distributie |
| LTAM |
USD |
IE00B27YCK28 |
iShares MSCI EM Latin America UCITS ETF |
iShares II plc |
14,50 |
57,22 |
18,32 |
12,51 |
7,77 |
1,62 |
31/mrt/2026 |
57,22 |
-14,29 |
22,94 |
-11,39 |
22,82 |
31/mrt/2026 |
14,50 |
23,71 |
65,66 |
80,29 |
111,26 |
34,44 |
31/mrt/2026 |
-8,68 |
8,07 |
33,10 |
-26,91 |
54,65 |
31/dec/2025 |
15/okt/2007 |
2.277.925.530,79 |
22,25 |
- |
2.277,93 |
01/mei/2026 |
Distributie |
| IEEM |
USD |
IE00B0M63177 |
iShares MSCI EM UCITS ETF USD (Dist) |
iShares plc |
-0,19 |
29,67 |
14,87 |
3,67 |
7,49 |
5,88 |
31/mrt/2026 |
29,67 |
8,46 |
7,78 |
-10,82 |
-11,43 |
31/mrt/2026 |
-0,19 |
4,47 |
51,59 |
19,74 |
105,89 |
220,26 |
31/mrt/2026 |
-2,64 |
-20,13 |
9,66 |
7,62 |
33,72 |
31/dec/2025 |
18/nov/2005 |
9.502.862.089,17 |
62,61 |
- |
9.502,86 |
01/mei/2026 |
Distributie |
| IEMS |
USD |
IE00B3F81G20 |
iShares MSCI EM Small Cap UCITS ETF |
iShares III plc |
-0,79 |
24,11 |
13,14 |
6,20 |
7,74 |
10,44 |
31/mrt/2026 |
24,11 |
-2,40 |
19,55 |
-11,38 |
5,28 |
31/mrt/2026 |
-0,79 |
0,75 |
44,81 |
35,11 |
110,69 |
444,54 |
31/mrt/2026 |
18,17 |
-18,28 |
22,89 |
4,21 |
18,27 |
31/dec/2025 |
06/mrt/2009 |
367.928.492,38 |
115,39 |
- |
367,93 |
01/mei/2026 |
Distributie |
| IMEU |
EUR |
IE00B1YZSC51 |
iShares Core MSCI Europe UCITS ETF |
iShares II plc |
-0,91 |
11,94 |
11,33 |
9,51 |
8,60 |
4,82 |
31/mrt/2026 |
11,94 |
7,12 |
15,07 |
4,13 |
9,63 |
31/mrt/2026 |
-0,91 |
5,31 |
37,98 |
57,52 |
128,29 |
141,38 |
31/mrt/2026 |
25,44 |
-9,23 |
16,13 |
8,87 |
19,67 |
31/dec/2025 |
06/jul/2007 |
10.592.296.634,95 |
38,19 |
- |
11.850,17 |
01/mei/2026 |
Distributie |
| IEUX |
EUR |
IE00B14X4N27 |
iShares MSCI Europe ex-UK UCITS ETF |
iShares plc |
-2,37 |
10,01 |
10,14 |
8,28 |
8,62 |
5,91 |
31/mrt/2026 |
10,01 |
4,80 |
15,89 |
4,64 |
6,45 |
31/mrt/2026 |
-2,37 |
3,49 |
33,62 |
48,84 |
128,56 |
212,37 |
31/mrt/2026 |
24,59 |
-12,44 |
17,71 |
6,91 |
19,59 |
31/dec/2025 |
02/jun/2006 |
1.324.067.030,43 |
52,44 |
- |
1.324,07 |
01/mei/2026 |
Distributie |
| IJPN |
USD |
IE00B02KXH56 |
iShares MSCI Japan UCITS ETF USD (Dist) |
iShares plc |
1,37 |
25,80 |
15,57 |
6,21 |
8,03 |
5,12 |
31/mrt/2026 |
25,80 |
-1,70 |
24,81 |
-5,80 |
-7,04 |
31/mrt/2026 |
1,37 |
4,61 |
54,35 |
35,16 |
116,44 |
192,27 |
31/mrt/2026 |
1,13 |
-17,10 |
19,70 |
8,22 |
24,51 |
31/dec/2025 |
01/okt/2004 |
2.589.391.968,43 |
23,38 |
- |
2.589,39 |
01/mei/2026 |
Distributie |
| ISJP |
USD |
IE00B2QWDY88 |
iShares MSCI Japan Small Cap UCITS ETF |
iShares III plc |
3,45 |
28,02 |
14,52 |
5,24 |
7,23 |
5,80 |
31/mrt/2026 |
28,02 |
4,08 |
12,71 |
-1,79 |
-12,50 |
31/mrt/2026 |
3,45 |
4,50 |
50,19 |
29,06 |
101,02 |
174,34 |
31/mrt/2026 |
-2,54 |
-12,38 |
13,01 |
4,11 |
28,27 |
31/dec/2025 |
09/mei/2008 |
488.227.705,24 |
57,36 |
- |
488,23 |
01/mei/2026 |
Distributie |
| INAA |
USD |
IE00B14X4M10 |
iShares MSCI North America UCITS ETF |
iShares plc |
-4,39 |
17,87 |
17,76 |
11,03 |
13,30 |
9,68 |
31/mrt/2026 |
17,87 |
7,58 |
28,80 |
-9,24 |
13,82 |
31/mrt/2026 |
-4,39 |
-1,99 |
63,32 |
68,71 |
248,66 |
525,14 |
31/mrt/2026 |
26,26 |
-19,59 |
25,77 |
23,79 |
17,81 |
31/dec/2025 |
02/jun/2006 |
1.476.055.433,44 |
134,14 |
- |
1.476,06 |
01/mei/2026 |
Distributie |
| IPXJ |
USD |
IE00B4WXJD03 |
iShares MSCI Pacific ex-Japan UCITS ETF |
iShares III plc |
2,82 |
23,07 |
10,01 |
4,85 |
6,91 |
8,05 |
31/mrt/2026 |
23,07 |
6,18 |
1,88 |
-7,87 |
3,29 |
31/mrt/2026 |
2,82 |
2,61 |
33,13 |
26,69 |
95,01 |
271,54 |
31/mrt/2026 |
4,17 |
-6,43 |
5,92 |
4,01 |
19,93 |
31/dec/2025 |
17/apr/2009 |
185.617.262,43 |
55,55 |
- |
185,62 |
01/mei/2026 |
Distributie |
| ITWN |
USD |
IE00B0M63623 |
iShares MSCI Taiwan UCITS ETF |
iShares plc |
7,25 |
59,11 |
25,68 |
12,65 |
16,64 |
10,86 |
31/mrt/2026 |
59,11 |
1,58 |
22,81 |
-14,12 |
6,40 |
31/mrt/2026 |
7,25 |
15,32 |
98,50 |
81,39 |
366,14 |
720,59 |
31/mrt/2026 |
27,47 |
-29,52 |
28,65 |
23,92 |
31,74 |
31/dec/2025 |
28/okt/2005 |
1.423.640.482,43 |
164,96 |
- |
1.443,60 |
01/mei/2026 |
Distributie |
| IWRD |
USD |
IE00B0M62Q58 |
iShares MSCI World UCITS ETF |
iShares plc |
-3,64 |
18,55 |
16,49 |
10,01 |
11,57 |
8,27 |
31/mrt/2026 |
18,55 |
6,80 |
24,86 |
-7,22 |
9,83 |
31/mrt/2026 |
-3,64 |
-0,73 |
58,09 |
61,09 |
198,84 |
406,86 |
31/mrt/2026 |
21,49 |
-18,31 |
23,55 |
18,39 |
20,75 |
31/dec/2025 |
28/okt/2005 |
9.012.931.970,62 |
99,74 |
- |
9.012,93 |
01/mei/2026 |
Distributie |
| IUSA |
USD |
IE0031442068 |
iShares Core S&P 500 UCITS ETF USD (Dist) |
iShares plc |
-4,39 |
17,51 |
18,01 |
11,76 |
13,77 |
8,90 |
31/mrt/2026 |
17,51 |
7,97 |
29,52 |
-8,01 |
15,34 |
31/mrt/2026 |
-4,39 |
-1,91 |
64,33 |
74,35 |
263,45 |
676,47 |
31/mrt/2026 |
28,37 |
-18,35 |
25,92 |
24,69 |
17,58 |
31/dec/2025 |
15/mrt/2002 |
21.021.315.169,49 |
72,01 |
- |
21.021,32 |
01/mei/2026 |
Distributie |
| SPGP |
USD |
IE00B6R52036 |
iShares Gold Producers UCITS ETF |
iShares V plc |
6,29 |
99,87 |
43,49 |
24,20 |
17,26 |
3,54 |
31/mrt/2026 |
99,87 |
47,51 |
0,20 |
-13,15 |
15,22 |
31/mrt/2026 |
6,29 |
20,39 |
195,41 |
195,59 |
391,30 |
65,77 |
31/mrt/2026 |
-8,34 |
-12,27 |
10,66 |
11,48 |
154,21 |
31/dec/2025 |
16/sep/2011 |
4.112.956.256,52 |
40,24 |
- |
4.112,96 |
01/mei/2026 |
Kapitalisatie |
| INRG |
USD |
IE00B1XNHC34 |
iShares Global Clean Energy Transition UCITS ETF |
iShares II plc |
9,81 |
60,70 |
-1,79 |
-4,64 |
8,44 |
-3,44 |
31/mrt/2026 |
60,70 |
-17,56 |
-28,50 |
-7,76 |
-9,75 |
31/mrt/2026 |
9,81 |
17,48 |
-5,28 |
-21,15 |
124,89 |
-48,07 |
31/mrt/2026 |
-24,07 |
-5,61 |
-20,53 |
-26,07 |
46,00 |
31/dec/2025 |
06/jul/2007 |
3.540.819.606,16 |
12,00 |
- |
4.442,43 |
01/mei/2026 |
Distributie |
| WOOD |
USD |
IE00B27YCF74 |
iShares Global Timber & Forestry UCITS ETF |
iShares II plc |
-2,75 |
-4,64 |
1,04 |
-2,35 |
5,55 |
2,03 |
31/mrt/2026 |
-4,64 |
-9,69 |
19,77 |
-18,77 |
6,00 |
31/mrt/2026 |
-2,75 |
-3,54 |
3,14 |
-11,20 |
71,58 |
44,85 |
31/mrt/2026 |
16,10 |
-19,58 |
13,62 |
-4,48 |
-3,91 |
31/dec/2025 |
12/okt/2007 |
88.474.184,70 |
23,42 |
- |
92,71 |
01/mei/2026 |
Distributie |
| IH2O |
USD |
IE00B1TXK627 |
iShares Global Water UCITS ETF |
iShares II plc |
0,75 |
15,42 |
9,85 |
6,71 |
10,07 |
7,71 |
31/mrt/2026 |
15,42 |
2,82 |
11,69 |
-4,08 |
8,83 |
31/mrt/2026 |
0,75 |
0,05 |
32,55 |
38,37 |
161,13 |
311,22 |
31/mrt/2026 |
31,06 |
-21,78 |
14,12 |
4,53 |
17,62 |
31/dec/2025 |
16/mrt/2007 |
2.159.041.788,60 |
76,30 |
- |
2.217,56 |
01/mei/2026 |
Distributie |
| ISP6 |
USD |
IE00B2QWCY14 |
iShares S&P SmallCap 600 UCITS ETF |
iShares III plc |
3,44 |
20,00 |
9,93 |
3,91 |
9,31 |
9,06 |
31/mrt/2026 |
20,00 |
-3,94 |
15,25 |
-9,43 |
0,70 |
31/mrt/2026 |
3,44 |
5,05 |
32,84 |
21,17 |
143,55 |
371,76 |
31/mrt/2026 |
26,25 |
-16,72 |
15,43 |
8,04 |
5,55 |
31/dec/2025 |
09/mei/2008 |
2.972.285.115,37 |
111,43 |
- |
2.972,29 |
01/mei/2026 |
Distributie |
| EXV5 |
EUR |
DE000A0Q4R28 |
iShares STOXX Europe 600 Automobiles & Parts UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-14,17 |
-11,31 |
-6,30 |
-3,81 |
1,97 |
5,58 |
31/mrt/2026 |
-11,31 |
-24,14 |
22,30 |
11,85 |
-10,52 |
31/mrt/2026 |
-14,17 |
-13,49 |
-17,72 |
-17,65 |
21,54 |
263,03 |
31/mrt/2026 |
26,46 |
-16,60 |
24,37 |
-8,47 |
-1,33 |
31/dec/2025 |
08/jul/2002 |
189.631.295,19 |
41,45 |
41,04 |
197,51 |
30/apr/2026 |
Distributie |
| EXV1 |
EUR |
DE000A0F5UJ7 |
iShares STOXX Europe 600 Banks UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-6,03 |
33,95 |
38,54 |
26,86 |
13,13 |
2,77 |
31/mrt/2026 |
33,95 |
43,63 |
38,20 |
11,89 |
10,44 |
31/mrt/2026 |
-6,03 |
7,81 |
165,90 |
228,56 |
243,43 |
97,62 |
31/mrt/2026 |
39,01 |
1,51 |
26,97 |
33,74 |
75,32 |
31/dec/2025 |
25/apr/2001 |
3.453.301.174,57 |
35,98 |
35,62 |
3.453,30 |
30/apr/2026 |
Distributie |
| EXV6 |
EUR |
DE000A0F5UK5 |
iShares STOXX Europe 600 Basic Resources UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
12,09 |
52,83 |
11,37 |
9,77 |
14,99 |
7,73 |
31/mrt/2026 |
52,83 |
-7,06 |
-2,76 |
-12,64 |
32,11 |
31/mrt/2026 |
12,09 |
33,96 |
38,12 |
59,41 |
304,35 |
485,30 |
31/mrt/2026 |
26,54 |
9,72 |
-1,87 |
-8,16 |
31,73 |
31/dec/2025 |
08/jul/2002 |
489.258.326,10 |
80,39 |
79,59 |
489,26 |
30/apr/2026 |
Distributie |
| EXV7 |
EUR |
DE000A0H08E0 |
iShares STOXX Europe 600 Chemicals UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
6,26 |
-2,21 |
1,00 |
1,57 |
6,30 |
8,22 |
31/mrt/2026 |
-2,21 |
-7,55 |
13,95 |
-0,18 |
5,15 |
31/mrt/2026 |
6,26 |
3,22 |
3,02 |
8,13 |
84,30 |
552,20 |
31/mrt/2026 |
24,64 |
-14,80 |
16,49 |
-6,48 |
-5,03 |
31/dec/2025 |
08/jul/2002 |
96.997.865,14 |
120,40 |
119,20 |
97,00 |
30/apr/2026 |
Distributie |
| EXV8 |
EUR |
DE000A0H08F7 |
iShares STOXX Europe 600 Construction & Materials UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-5,72 |
9,30 |
13,37 |
10,03 |
9,89 |
8,52 |
31/mrt/2026 |
9,30 |
6,89 |
24,72 |
4,99 |
5,41 |
31/mrt/2026 |
-5,72 |
0,54 |
45,71 |
61,26 |
156,83 |
595,42 |
31/mrt/2026 |
33,56 |
-19,25 |
34,30 |
7,00 |
24,16 |
31/dec/2025 |
08/jul/2002 |
943.244.572,02 |
89,91 |
89,01 |
943,24 |
30/apr/2026 |
Distributie |
| EXH2 |
EUR |
DE000A0H08G5 |
iShares STOXX Europe 600 Financial Services UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-7,28 |
-0,25 |
13,96 |
7,54 |
10,09 |
8,23 |
31/mrt/2026 |
-0,25 |
15,39 |
28,57 |
-10,93 |
9,12 |
31/mrt/2026 |
-7,28 |
-2,44 |
47,99 |
43,85 |
161,39 |
552,47 |
31/mrt/2026 |
26,79 |
-23,41 |
29,72 |
17,65 |
11,32 |
31/dec/2025 |
08/jul/2002 |
95.889.413,21 |
90,11 |
89,21 |
95,89 |
30/apr/2026 |
Distributie |
| EXH3 |
EUR |
DE000A0H08H3 |
iShares STOXX Europe 600 Food & Beverage UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-2,20 |
-7,05 |
-6,87 |
-1,89 |
1,48 |
5,91 |
31/mrt/2026 |
-7,05 |
-4,91 |
-8,61 |
-0,26 |
12,80 |
31/mrt/2026 |
-2,20 |
1,98 |
-19,21 |
-9,11 |
15,82 |
290,90 |
31/mrt/2026 |
22,99 |
-13,03 |
-1,49 |
-10,64 |
0,39 |
31/dec/2025 |
08/jul/2002 |
248.283.901,91 |
62,09 |
61,47 |
248,28 |
30/apr/2026 |
Distributie |
| EXV4 |
EUR |
DE000A0Q4R36 |
iShares STOXX Europe 600 Health Care UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-2,07 |
3,55 |
3,99 |
6,21 |
6,62 |
5,63 |
31/mrt/2026 |
3,55 |
-2,97 |
11,93 |
-1,60 |
22,16 |
31/mrt/2026 |
-2,07 |
8,55 |
12,45 |
35,18 |
89,88 |
291,49 |
31/mrt/2026 |
25,25 |
-6,41 |
8,11 |
4,26 |
6,38 |
31/dec/2025 |
25/apr/2001 |
679.883.758,93 |
109,86 |
108,76 |
679,88 |
30/apr/2026 |
Distributie |
| EXH4 |
EUR |
DE000A0H08J9 |
iShares STOXX Europe 600 Industrial Goods & Services UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-2,91 |
12,07 |
14,76 |
10,09 |
11,14 |
8,86 |
31/mrt/2026 |
12,07 |
10,57 |
21,97 |
5,08 |
1,81 |
31/mrt/2026 |
-2,91 |
-2,82 |
51,14 |
61,69 |
187,45 |
649,48 |
31/mrt/2026 |
28,05 |
-18,79 |
23,70 |
15,40 |
22,98 |
31/dec/2025 |
08/jul/2002 |
547.455.479,12 |
112,18 |
111,06 |
547,46 |
30/apr/2026 |
Distributie |
| EXH5 |
EUR |
DE000A0H08K7 |
iShares STOXX Europe 600 Insurance UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-4,61 |
6,38 |
19,26 |
13,56 |
11,16 |
6,57 |
31/mrt/2026 |
6,38 |
28,33 |
24,27 |
2,68 |
8,44 |
31/mrt/2026 |
-4,61 |
-0,05 |
69,64 |
88,89 |
188,00 |
352,69 |
31/mrt/2026 |
19,91 |
3,20 |
13,19 |
23,05 |
29,03 |
31/dec/2025 |
08/jul/2002 |
432.792.857,32 |
50,60 |
50,09 |
432,79 |
30/apr/2026 |
Distributie |
| EXH6 |
EUR |
DE000A0H08L5 |
iShares STOXX Europe 600 Media UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-19,02 |
-26,29 |
-2,14 |
3,36 |
3,47 |
4,69 |
31/mrt/2026 |
-26,29 |
0,66 |
26,32 |
5,67 |
19,13 |
31/mrt/2026 |
-19,02 |
-21,30 |
-6,27 |
17,99 |
40,67 |
196,59 |
31/mrt/2026 |
38,75 |
-10,78 |
26,81 |
18,19 |
-13,46 |
31/dec/2025 |
08/jul/2002 |
27.670.530,60 |
30,25 |
29,95 |
27,67 |
30/apr/2026 |
Distributie |
| EXH1 |
EUR |
DE000A0H08M3 |
iShares STOXX Europe 600 Oil & Gas UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
36,98 |
55,60 |
22,70 |
20,81 |
12,40 |
5,78 |
31/mrt/2026 |
55,60 |
5,62 |
12,41 |
10,68 |
25,86 |
31/mrt/2026 |
36,98 |
48,74 |
84,74 |
157,35 |
221,79 |
279,51 |
31/mrt/2026 |
21,60 |
29,17 |
7,56 |
-1,99 |
26,45 |
31/dec/2025 |
08/jul/2002 |
641.210.273,95 |
55,70 |
55,14 |
641,21 |
30/apr/2026 |
Distributie |
| EXH7 |
EUR |
DE000A0H08N1 |
iShares STOXX Europe 600 Personal & Household Goods UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-14,48 |
-8,54 |
-3,70 |
1,09 |
4,33 |
7,50 |
31/mrt/2026 |
-8,54 |
-2,72 |
0,39 |
15,92 |
1,95 |
31/mrt/2026 |
-14,48 |
-7,38 |
-10,69 |
5,56 |
52,76 |
456,66 |
31/mrt/2026 |
20,56 |
-10,76 |
8,19 |
4,33 |
6,11 |
31/dec/2025 |
08/jul/2002 |
167.084.812,24 |
89,37 |
88,48 |
167,08 |
30/apr/2026 |
Distributie |
| EXI5 |
EUR |
DE000A0Q4R44 |
iShares STOXX Europe 600 Real Estate UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-4,19 |
0,39 |
5,69 |
-3,66 |
-1,09 |
-0,20 |
31/mrt/2026 |
0,39 |
-1,44 |
19,34 |
-37,05 |
11,63 |
31/mrt/2026 |
-4,19 |
-3,54 |
18,07 |
-17,03 |
-10,34 |
-3,93 |
31/mrt/2026 |
16,72 |
-38,18 |
17,38 |
-3,35 |
3,60 |
31/dec/2025 |
19/sep/2006 |
64.802.391,29 |
13,88 |
13,74 |
64,80 |
30/apr/2026 |
Distributie |
| EXH8 |
EUR |
DE000A0H08P6 |
iShares STOXX Europe 600 Retail UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-10,26 |
6,59 |
8,44 |
2,74 |
5,31 |
5,10 |
31/mrt/2026 |
6,59 |
-4,35 |
25,07 |
16,46 |
-22,93 |
31/mrt/2026 |
-10,26 |
-3,26 |
27,52 |
14,46 |
67,80 |
225,29 |
31/mrt/2026 |
13,37 |
-30,86 |
37,24 |
11,29 |
13,02 |
31/dec/2025 |
08/jul/2002 |
9.839.831,27 |
42,06 |
41,64 |
9,84 |
30/apr/2026 |
Distributie |
| EXV3 |
EUR |
DE000A0H08Q4 |
iShares STOXX Europe 600 Technology UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-5,61 |
1,02 |
4,74 |
3,63 |
9,72 |
2,63 |
31/mrt/2026 |
1,02 |
-7,93 |
23,54 |
4,50 |
-0,48 |
31/mrt/2026 |
-5,61 |
-6,07 |
14,90 |
19,49 |
152,94 |
90,96 |
31/mrt/2026 |
34,02 |
-28,02 |
32,41 |
6,97 |
3,69 |
31/dec/2025 |
25/apr/2001 |
179.798.504,70 |
85,87 |
85,01 |
198,88 |
30/apr/2026 |
Distributie |
| EXV2 |
EUR |
DE000A0H08R2 |
iShares STOXX Europe 600 Telecommunications UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
16,22 |
19,17 |
15,45 |
9,25 |
3,07 |
2,25 |
31/mrt/2026 |
19,17 |
33,71 |
-3,43 |
-3,25 |
4,54 |
31/mrt/2026 |
16,22 |
19,26 |
53,87 |
55,63 |
35,30 |
74,12 |
31/mrt/2026 |
15,59 |
-14,53 |
8,15 |
21,03 |
15,81 |
31/dec/2025 |
25/apr/2001 |
160.275.780,78 |
29,37 |
29,08 |
160,28 |
30/apr/2026 |
Distributie |
| EXV9 |
EUR |
DE000A0H08S0 |
iShares STOXX Europe 600 Travel & Leisure UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
-12,75 |
7,04 |
2,44 |
-0,88 |
1,20 |
4,37 |
31/mrt/2026 |
7,04 |
-9,68 |
11,20 |
14,21 |
-22,08 |
31/mrt/2026 |
-12,75 |
-7,75 |
7,51 |
-4,33 |
12,70 |
175,83 |
31/mrt/2026 |
3,35 |
-14,59 |
21,98 |
14,09 |
5,76 |
31/dec/2025 |
08/jul/2002 |
59.320.372,25 |
22,17 |
21,95 |
59,32 |
30/apr/2026 |
Distributie |
| EXH9 |
EUR |
DE000A0Q4R02 |
iShares STOXX Europe 600 Utilities UCITS ETF (DE) |
iShares (DE) I Investmentaktiengesellschaft mit TGV |
13,03 |
36,76 |
17,59 |
11,99 |
11,11 |
7,62 |
31/mrt/2026 |
36,76 |
17,87 |
0,85 |
2,37 |
5,86 |
31/mrt/2026 |
13,03 |
25,35 |
62,58 |
76,18 |
186,76 |
470,76 |
31/mrt/2026 |
9,17 |
-7,70 |
13,93 |
1,81 |
33,48 |
31/dec/2025 |
08/jul/2002 |
921.839.202,70 |
59,01 |
58,42 |
921,84 |
30/apr/2026 |
Distributie |
| IS3B |
EUR |
IE00B87RLX93 |
iShares € Corp Bond Financials UCITS ETF |
iShares VI plc |
-1,07 |
2,15 |
4,94 |
0,17 |
1,21 |
1,68 |
31/mrt/2026 |
2,15 |
4,84 |
7,91 |
-8,02 |
-5,12 |
31/mrt/2026 |
-1,07 |
-0,75 |
15,57 |
0,87 |
12,78 |
23,97 |
31/mrt/2026 |
-0,83 |
-13,58 |
8,38 |
5,55 |
3,49 |
31/dec/2025 |
07/mei/2013 |
460.993.289,80 |
100,21 |
- |
460,99 |
01/mei/2026 |
Distributie |
| - |
USD |
LU0931342652 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,73 |
43,94 |
28,56 |
14,99 |
13,08 |
10,37 |
31/mrt/2026 |
43,94 |
4,52 |
41,23 |
0,36 |
-5,70 |
31/mrt/2026 |
3,73 |
12,58 |
112,47 |
101,07 |
241,75 |
256,10 |
31/mrt/2026 |
12,73 |
-8,79 |
23,72 |
26,12 |
34,15 |
31/dec/2025 |
15/mei/2013 |
32.819.382,55 |
38,75 |
- |
61.283,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0938162772 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,62 |
8,95 |
10,21 |
6,33 |
9,88 |
9,55 |
31/mrt/2026 |
8,95 |
-0,39 |
23,35 |
-7,57 |
9,86 |
31/mrt/2026 |
-7,62 |
-2,57 |
33,87 |
35,94 |
156,45 |
222,31 |
31/mrt/2026 |
25,09 |
-14,16 |
13,81 |
24,18 |
6,15 |
31/dec/2025 |
29/mei/2013 |
9.184.612,92 |
33,31 |
- |
458,43 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0938162269 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-9,91 |
6,91 |
16,35 |
7,57 |
13,67 |
13,91 |
31/mrt/2026 |
6,91 |
-0,28 |
47,75 |
-16,32 |
9,29 |
31/mrt/2026 |
-9,91 |
-10,28 |
57,52 |
44,04 |
260,26 |
432,10 |
31/mrt/2026 |
28,21 |
-36,48 |
48,57 |
39,91 |
-2,06 |
31/dec/2025 |
29/mei/2013 |
16.356.445,85 |
61,32 |
- |
423,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0938162426 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,51 |
7,42 |
7,96 |
6,82 |
7,15 |
7,64 |
31/mrt/2026 |
7,42 |
1,64 |
15,23 |
-3,64 |
14,70 |
31/mrt/2026 |
-2,51 |
0,48 |
25,82 |
39,06 |
99,51 |
157,25 |
31/mrt/2026 |
27,26 |
-8,95 |
12,15 |
16,03 |
3,72 |
31/dec/2025 |
29/mei/2013 |
8.100.500,05 |
19,92 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU0938162186 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,82 |
1,22 |
1,69 |
-0,80 |
0,13 |
-1,41 |
31/mrt/2026 |
1,22 |
-1,89 |
5,90 |
1,84 |
-10,28 |
31/mrt/2026 |
-1,82 |
0,94 |
5,17 |
-3,92 |
1,27 |
-16,61 |
31/mrt/2026 |
-4,75 |
-8,19 |
4,87 |
1,26 |
4,97 |
31/dec/2025 |
29/mei/2013 |
45.667,07 |
21,75 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0938162699 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,12 |
1,51 |
2,83 |
-1,92 |
0,07 |
1,35 |
31/mrt/2026 |
1,51 |
1,89 |
5,12 |
-10,16 |
-7,09 |
31/mrt/2026 |
-1,12 |
-0,66 |
8,72 |
-9,25 |
0,69 |
18,79 |
31/mrt/2026 |
-3,53 |
-16,98 |
7,71 |
2,27 |
1,89 |
31/dec/2025 |
29/mei/2013 |
4.964.098,86 |
10,61 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| EMBE |
EUR |
IE00B9M6RS56 |
iShares J.P. Morgan $ EM Bond EUR Hedged UCITS ETF (Dist) |
iShares VI plc |
-2,53 |
6,58 |
6,34 |
-0,23 |
0,95 |
1,82 |
31/mrt/2026 |
6,58 |
4,44 |
8,03 |
-11,18 |
-7,44 |
31/mrt/2026 |
-2,53 |
-0,12 |
20,25 |
-1,15 |
9,87 |
25,85 |
31/mrt/2026 |
-3,53 |
-20,47 |
7,75 |
4,20 |
11,08 |
31/dec/2025 |
08/jul/2013 |
2.153.727.787,24 |
68,33 |
- |
2.153,73 |
01/mei/2026 |
Distributie |
| CRPH |
EUR |
IE00B9M6SJ31 |
iShares Global Corp Bond EUR Hedged UCITS ETF (Dist) |
iShares VI plc |
-1,07 |
2,24 |
3,05 |
-1,00 |
0,68 |
1,48 |
31/mrt/2026 |
2,24 |
3,35 |
3,56 |
-8,02 |
-5,50 |
31/mrt/2026 |
-1,07 |
-0,70 |
9,42 |
-4,89 |
7,04 |
20,62 |
31/mrt/2026 |
-2,02 |
-16,47 |
6,43 |
1,67 |
4,71 |
31/dec/2025 |
25/jun/2013 |
1.082.278.984,54 |
84,00 |
- |
1.082,28 |
01/mei/2026 |
Distributie |
| - |
USD |
LU0940328577 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
2,46 |
33,21 |
26,93 |
16,34 |
14,32 |
12,06 |
31/mrt/2026 |
33,21 |
0,03 |
53,46 |
7,11 |
-2,69 |
31/mrt/2026 |
2,46 |
12,32 |
104,49 |
113,13 |
281,14 |
328,40 |
31/mrt/2026 |
10,97 |
-6,64 |
36,45 |
30,02 |
22,36 |
31/dec/2025 |
19/jun/2013 |
51.416.120,45 |
45,10 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0940382277 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,77 |
8,18 |
7,99 |
2,06 |
2,49 |
2,20 |
31/mrt/2026 |
8,18 |
3,11 |
12,90 |
-2,60 |
-9,71 |
31/mrt/2026 |
-1,77 |
1,77 |
25,94 |
10,76 |
27,90 |
32,20 |
31/mrt/2026 |
-12,25 |
-7,13 |
14,61 |
2,07 |
11,38 |
31/dec/2025 |
12/jun/2013 |
- |
135,33 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0942511766 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
-12,09 |
10,59 |
15,58 |
4,01 |
10,46 |
10,49 |
31/mrt/2026 |
10,59 |
-2,18 |
42,72 |
-22,02 |
1,09 |
31/mrt/2026 |
-12,09 |
-13,11 |
54,39 |
21,71 |
170,33 |
257,10 |
31/mrt/2026 |
16,69 |
-42,96 |
48,73 |
28,30 |
7,83 |
31/dec/2025 |
26/jun/2013 |
5.319.283,43 |
41,59 |
- |
423,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0944772804 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,56 |
6,57 |
6,23 |
1,60 |
2,97 |
3,01 |
31/mrt/2026 |
6,57 |
3,92 |
8,25 |
-9,10 |
-0,65 |
31/mrt/2026 |
-1,56 |
-0,13 |
19,88 |
8,27 |
33,99 |
45,97 |
31/mrt/2026 |
5,71 |
-14,79 |
8,15 |
5,28 |
9,13 |
31/dec/2025 |
03/jul/2013 |
6.466.878,84 |
7,79 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0949128572 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
9,00 |
8,81 |
2,84 |
3,27 |
3,02 |
31/mrt/2026 |
9,00 |
3,90 |
13,74 |
-1,85 |
-9,03 |
31/mrt/2026 |
-1,59 |
2,15 |
28,81 |
15,01 |
37,93 |
46,05 |
31/mrt/2026 |
-11,60 |
-6,43 |
15,47 |
2,85 |
12,22 |
31/dec/2025 |
03/jul/2013 |
- |
149,61 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0949128499 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,90 |
7,64 |
7,45 |
1,56 |
1,98 |
1,71 |
31/mrt/2026 |
7,64 |
2,59 |
12,35 |
-3,08 |
-10,16 |
31/mrt/2026 |
-1,90 |
1,51 |
24,06 |
8,03 |
21,64 |
24,11 |
31/mrt/2026 |
-12,69 |
-7,60 |
14,05 |
1,56 |
10,83 |
31/dec/2025 |
03/jul/2013 |
- |
127,01 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0949170855 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,77 |
9,60 |
11,95 |
9,30 |
7,78 |
8,42 |
31/mrt/2026 |
9,60 |
10,76 |
15,57 |
2,35 |
8,66 |
31/mrt/2026 |
-1,77 |
4,32 |
40,29 |
56,02 |
111,61 |
179,13 |
31/mrt/2026 |
21,52 |
-10,26 |
16,41 |
10,17 |
19,55 |
31/dec/2025 |
17/jul/2013 |
10.001.869,08 |
17,74 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0949128143 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,45 |
5,04 |
5,22 |
-0,60 |
-0,15 |
0,05 |
31/mrt/2026 |
5,04 |
0,77 |
10,04 |
-6,19 |
-11,17 |
31/mrt/2026 |
-2,45 |
0,36 |
16,48 |
-2,94 |
-1,51 |
0,60 |
31/mrt/2026 |
-13,57 |
-10,21 |
11,34 |
-0,23 |
8,33 |
31/dec/2025 |
17/jul/2013 |
- |
102,75 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0949128226 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,14 |
6,35 |
6,54 |
0,65 |
1,07 |
1,27 |
31/mrt/2026 |
6,35 |
2,04 |
11,43 |
-5,04 |
-10,05 |
31/mrt/2026 |
-2,14 |
1,00 |
20,92 |
3,30 |
11,24 |
17,43 |
31/mrt/2026 |
-12,48 |
-9,11 |
12,77 |
1,02 |
9,66 |
31/dec/2025 |
17/jul/2013 |
- |
120,05 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU0949170699 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,49 |
12,11 |
7,50 |
3,91 |
5,21 |
5,32 |
31/mrt/2026 |
12,11 |
-0,39 |
11,25 |
-8,57 |
6,65 |
31/mrt/2026 |
-4,49 |
-1,87 |
24,24 |
21,15 |
66,17 |
93,23 |
31/mrt/2026 |
15,77 |
-16,64 |
12,73 |
6,31 |
14,65 |
31/dec/2025 |
17/jul/2013 |
14.954.755,47 |
14,39 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0949170426 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,98 |
5,19 |
5,14 |
1,26 |
3,15 |
2,99 |
31/mrt/2026 |
5,19 |
2,83 |
7,43 |
-7,75 |
-0,72 |
31/mrt/2026 |
-1,98 |
-0,93 |
16,21 |
6,44 |
36,37 |
45,20 |
31/mrt/2026 |
5,75 |
-13,70 |
7,86 |
4,31 |
7,70 |
31/dec/2025 |
31/jul/2013 |
374.291.189,10 |
7,19 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU0949170772 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-5,09 |
10,16 |
6,70 |
3,81 |
5,10 |
4,87 |
31/mrt/2026 |
10,16 |
-0,97 |
11,34 |
-7,49 |
7,31 |
31/mrt/2026 |
-5,09 |
-3,06 |
21,46 |
20,57 |
64,39 |
82,86 |
31/mrt/2026 |
16,57 |
-15,78 |
13,10 |
5,93 |
13,07 |
31/dec/2025 |
17/jul/2013 |
46.954.799,93 |
13,64 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU0949170269 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,35 |
7,44 |
6,24 |
1,63 |
3,47 |
3,59 |
31/mrt/2026 |
7,44 |
3,66 |
7,69 |
-8,67 |
-1,03 |
31/mrt/2026 |
-1,35 |
0,40 |
19,93 |
8,41 |
40,68 |
56,52 |
31/mrt/2026 |
5,39 |
-14,51 |
7,73 |
4,95 |
9,74 |
31/dec/2025 |
17/jul/2013 |
5.361.444,56 |
8,06 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU0949170343 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,75 |
6,37 |
6,57 |
2,05 |
3,82 |
4,01 |
31/mrt/2026 |
6,37 |
4,25 |
9,16 |
-7,99 |
-0,64 |
31/mrt/2026 |
-1,75 |
-0,40 |
21,05 |
10,67 |
45,50 |
64,83 |
31/mrt/2026 |
5,57 |
-13,85 |
9,12 |
5,87 |
9,06 |
31/dec/2025 |
17/jul/2013 |
30.370.064,43 |
7,86 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| SPDM |
USD |
IE00B4556L06 |
iShares Physical Palladium ETC |
iShares Physical Metals plc |
-7,64 |
46,56 |
-1,15 |
-11,39 |
9,48 |
3,72 |
31/mrt/2026 |
46,56 |
-3,24 |
-31,88 |
-34,17 |
-14,11 |
31/mrt/2026 |
-7,64 |
17,13 |
-3,40 |
-45,39 |
147,28 |
72,83 |
31/mrt/2026 |
-18,81 |
-7,45 |
-37,54 |
-18,93 |
72,04 |
31/dec/2025 |
08/apr/2011 |
92.052.286,42 |
43,68 |
- |
92,05 |
01/mei/2026 |
Geen inkomsten |
| - |
SGD |
LU0963555726 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,67 |
1,33 |
2,82 |
3,26 |
6,89 |
6,51 |
31/mrt/2026 |
1,33 |
-7,31 |
15,73 |
-0,20 |
8,23 |
31/mrt/2026 |
-5,67 |
-4,70 |
8,70 |
17,42 |
94,63 |
121,10 |
31/mrt/2026 |
29,85 |
-23,20 |
18,39 |
6,72 |
3,99 |
31/dec/2025 |
04/sep/2013 |
11.894.949,84 |
23,37 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0969580058 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
2,71 |
-1,38 |
-0,84 |
-3,08 |
1,28 |
1,63 |
31/mrt/2026 |
-1,38 |
2,43 |
-3,48 |
-8,95 |
-3,65 |
31/mrt/2026 |
2,71 |
3,62 |
-2,50 |
-14,47 |
13,57 |
22,53 |
31/mrt/2026 |
3,94 |
-11,16 |
-10,12 |
11,69 |
-4,85 |
31/dec/2025 |
11/sep/2013 |
749.173,31 |
13,04 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| LQDH |
USD |
IE00BCLWRB83 |
iShares $ Corp Bond Interest Rate Hedged UCITS ETF |
iShares plc |
0,49 |
6,28 |
7,84 |
5,03 |
4,48 |
3,63 |
31/mrt/2026 |
6,28 |
5,72 |
11,61 |
3,68 |
-1,68 |
31/mrt/2026 |
0,49 |
1,40 |
25,41 |
27,84 |
55,06 |
56,42 |
31/mrt/2026 |
1,32 |
0,12 |
11,21 |
8,34 |
5,50 |
31/dec/2025 |
19/sep/2013 |
81.703.977,29 |
104,97 |
- |
196,87 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU0969580132 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,85 |
4,10 |
4,56 |
-2,17 |
0,12 |
1,24 |
31/mrt/2026 |
4,10 |
5,36 |
4,21 |
-8,68 |
-14,13 |
31/mrt/2026 |
-0,85 |
-0,34 |
14,30 |
-10,37 |
1,21 |
16,70 |
31/mrt/2026 |
-7,78 |
-17,85 |
3,79 |
5,19 |
7,49 |
31/dec/2025 |
25/sep/2013 |
9.915.993,75 |
11,76 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU0969580215 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
3,51 |
4,44 |
-1,61 |
1,22 |
2,28 |
31/mrt/2026 |
3,51 |
5,35 |
4,47 |
-6,66 |
-13,28 |
31/mrt/2026 |
-0,97 |
-0,67 |
13,92 |
-7,79 |
12,95 |
32,60 |
31/mrt/2026 |
-7,05 |
-16,06 |
4,57 |
5,04 |
7,03 |
31/dec/2025 |
25/sep/2013 |
119.251.437,66 |
13,35 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0969580561 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,22 |
-3,71 |
1,49 |
2,47 |
6,99 |
7,73 |
31/mrt/2026 |
-3,71 |
-7,47 |
17,33 |
0,70 |
7,34 |
31/mrt/2026 |
-4,22 |
-5,96 |
4,53 |
12,99 |
96,60 |
154,00 |
31/mrt/2026 |
26,80 |
-23,51 |
19,69 |
7,70 |
-3,32 |
31/dec/2025 |
25/sep/2013 |
18.568.526,15 |
27,00 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0969580306 |
BGF European Equity Transition Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
13,45 |
9,55 |
7,57 |
8,99 |
8,15 |
31/mrt/2026 |
13,45 |
-1,26 |
17,36 |
1,00 |
8,48 |
31/mrt/2026 |
-1,15 |
4,59 |
31,46 |
44,03 |
136,56 |
166,60 |
31/mrt/2026 |
29,90 |
-22,45 |
20,26 |
7,88 |
17,31 |
31/dec/2025 |
25/sep/2013 |
5.589.750,22 |
27,92 |
- |
299,85 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0969580488 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,04 |
7,37 |
9,99 |
8,62 |
9,18 |
8,48 |
31/mrt/2026 |
7,37 |
3,49 |
19,75 |
6,61 |
6,61 |
31/mrt/2026 |
-5,04 |
-2,74 |
33,06 |
51,23 |
140,78 |
176,90 |
31/mrt/2026 |
28,40 |
-16,53 |
17,95 |
14,90 |
17,06 |
31/dec/2025 |
25/sep/2013 |
22.011.299,41 |
29,43 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| IJPD |
USD |
IE00BCLWRG39 |
iShares MSCI Japan USD Hedged UCITS ETF (Acc) |
iShares plc |
3,67 |
37,59 |
27,37 |
17,73 |
14,15 |
12,14 |
31/mrt/2026 |
37,59 |
1,18 |
48,43 |
7,31 |
2,00 |
31/mrt/2026 |
3,67 |
14,12 |
106,62 |
126,14 |
275,70 |
318,72 |
31/mrt/2026 |
12,85 |
-2,69 |
34,47 |
25,60 |
27,66 |
31/dec/2025 |
30/sep/2013 |
563.523.105,03 |
110,49 |
- |
563,52 |
01/mei/2026 |
Kapitalisatie |
| - |
EUR |
LU0973708182 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,27 |
2,93 |
3,59 |
0,28 |
0,88 |
0,95 |
31/mrt/2026 |
2,93 |
3,79 |
4,05 |
-5,08 |
-3,88 |
31/mrt/2026 |
-1,27 |
-0,58 |
11,16 |
1,42 |
9,17 |
12,52 |
31/mrt/2026 |
-0,80 |
-8,64 |
4,30 |
2,71 |
5,47 |
31/dec/2025 |
09/okt/2013 |
2.676.359,87 |
8,64 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU0972027022 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,65 |
1,22 |
1,73 |
-0,76 |
0,41 |
0,58 |
31/mrt/2026 |
1,22 |
1,63 |
2,35 |
-5,29 |
-3,49 |
31/mrt/2026 |
-1,65 |
-1,38 |
5,29 |
-3,76 |
4,17 |
7,50 |
31/mrt/2026 |
-0,62 |
-8,35 |
2,64 |
0,57 |
3,70 |
31/dec/2025 |
02/okt/2013 |
16.232.759,91 |
10,82 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| ERNE |
EUR |
IE00BCRY6557 |
iShares € Ultrashort Bond UCITS ETF |
iShares IV plc |
0,41 |
2,29 |
3,32 |
1,98 |
0,97 |
0,85 |
31/mrt/2026 |
2,29 |
3,75 |
3,94 |
0,46 |
-0,47 |
31/mrt/2026 |
0,41 |
0,98 |
10,31 |
10,30 |
10,10 |
11,06 |
31/mrt/2026 |
-0,35 |
-0,31 |
3,46 |
4,05 |
2,65 |
31/dec/2025 |
16/okt/2013 |
3.606.355.346,33 |
100,93 |
- |
6.133,30 |
01/mei/2026 |
Distributie |
| ERND |
USD |
IE00BCRY6227 |
iShares $ Ultrashort Bond UCITS ETF |
iShares IV plc |
0,78 |
4,30 |
5,20 |
3,61 |
2,69 |
2,24 |
31/mrt/2026 |
4,30 |
5,49 |
5,81 |
2,77 |
-0,21 |
31/mrt/2026 |
0,78 |
1,88 |
16,42 |
19,40 |
30,38 |
31,85 |
31/mrt/2026 |
0,13 |
1,33 |
5,60 |
5,65 |
4,74 |
31/dec/2025 |
15/okt/2013 |
594.190.771,54 |
100,03 |
- |
2.398,64 |
01/mei/2026 |
Distributie |
| SDIG |
USD |
IE00BCRY5Y77 |
iShares $ Short Duration Corp Bond UCITS ETF |
iShares IV plc |
0,25 |
4,59 |
5,12 |
2,39 |
2,55 |
2,39 |
31/mrt/2026 |
4,59 |
5,96 |
4,82 |
0,15 |
-3,26 |
31/mrt/2026 |
0,25 |
1,43 |
16,17 |
12,54 |
28,59 |
34,19 |
31/mrt/2026 |
-0,58 |
-4,55 |
5,81 |
4,86 |
6,11 |
31/dec/2025 |
16/okt/2013 |
1.626.653.992,36 |
100,41 |
- |
8.301,70 |
01/mei/2026 |
Distributie |
| SDHY |
USD |
IE00BCRY6003 |
iShares $ Short Duration High Yield Corp Bond UCITS ETF |
iShares IV plc |
-0,18 |
6,87 |
7,19 |
4,53 |
5,11 |
4,11 |
31/mrt/2026 |
6,87 |
6,78 |
7,92 |
0,79 |
0,55 |
31/mrt/2026 |
-0,18 |
1,25 |
23,15 |
24,81 |
64,63 |
65,09 |
31/mrt/2026 |
4,03 |
-3,58 |
8,91 |
6,60 |
8,79 |
31/dec/2025 |
15/okt/2013 |
884.020.996,59 |
87,47 |
- |
2.534,50 |
01/mei/2026 |
Distributie |
| SGLN |
USD |
IE00B4ND3602 |
iShares Physical Gold ETC |
iShares Physical Metals plc |
6,94 |
47,76 |
32,37 |
22,05 |
13,85 |
7,71 |
31/mrt/2026 |
47,76 |
40,51 |
11,72 |
1,81 |
14,69 |
31/mrt/2026 |
6,94 |
20,40 |
131,94 |
170,83 |
266,00 |
204,27 |
31/mrt/2026 |
-3,89 |
-0,54 |
13,66 |
26,44 |
64,80 |
31/dec/2025 |
08/apr/2011 |
38.585.144.541,36 |
89,97 |
- |
38.585,14 |
01/mei/2026 |
Geen inkomsten |
| SPLT |
USD |
IE00B4LHWP62 |
iShares Physical Platinum ETC |
iShares Physical Metals plc |
-5,92 |
91,76 |
24,58 |
9,83 |
6,63 |
0,05 |
31/mrt/2026 |
91,76 |
9,26 |
-7,73 |
-0,40 |
-17,00 |
31/mrt/2026 |
-5,92 |
21,33 |
93,33 |
59,81 |
89,96 |
0,80 |
31/mrt/2026 |
-10,69 |
10,49 |
-5,73 |
-9,33 |
121,33 |
31/dec/2025 |
08/apr/2011 |
411.091.665,22 |
28,43 |
- |
411,09 |
01/mei/2026 |
Geen inkomsten |
| SSLN |
USD |
IE00B4NCWG09 |
iShares Physical Silver ETC |
iShares Physical Metals plc |
0,92 |
113,01 |
44,62 |
24,56 |
16,46 |
3,69 |
31/mrt/2026 |
113,01 |
38,49 |
2,54 |
-3,94 |
3,19 |
31/mrt/2026 |
0,92 |
57,25 |
202,49 |
199,84 |
359,04 |
72,07 |
31/mrt/2026 |
-13,01 |
3,52 |
-0,85 |
21,26 |
148,56 |
31/dec/2025 |
08/apr/2011 |
3.348.827.624,74 |
69,63 |
- |
3.348,83 |
01/mei/2026 |
Geen inkomsten |
| - |
GBP |
LU0986743572 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,29 |
6,29 |
9,38 |
7,58 |
7,77 |
7,27 |
31/mrt/2026 |
6,29 |
3,37 |
19,11 |
3,82 |
6,05 |
31/mrt/2026 |
-5,29 |
-3,09 |
30,86 |
44,08 |
111,26 |
138,30 |
31/mrt/2026 |
27,81 |
-18,53 |
16,98 |
14,57 |
16,32 |
31/dec/2025 |
13/nov/2013 |
3.918.863,65 |
25,33 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU0997362164 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,33 |
6,28 |
6,35 |
3,60 |
4,06 |
4,85 |
31/mrt/2026 |
6,28 |
1,53 |
11,48 |
3,92 |
-4,53 |
31/mrt/2026 |
-0,33 |
3,56 |
20,29 |
19,34 |
48,81 |
79,35 |
31/mrt/2026 |
-10,66 |
4,59 |
9,47 |
4,53 |
4,67 |
31/dec/2025 |
27/nov/2013 |
- |
86,22 |
- |
1.287,30 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0995345831 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,65 |
11,64 |
6,14 |
2,11 |
1,18 |
0,14 |
31/mrt/2026 |
11,64 |
0,42 |
6,67 |
1,38 |
-8,42 |
31/mrt/2026 |
-2,65 |
0,73 |
19,59 |
11,03 |
12,47 |
1,76 |
31/mrt/2026 |
-8,08 |
-10,08 |
14,45 |
-6,10 |
19,61 |
31/dec/2025 |
04/dec/2013 |
1.158.827,11 |
5,11 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU0995319919 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,54 |
4,25 |
6,85 |
1,20 |
3,24 |
3,35 |
31/mrt/2026 |
4,25 |
7,33 |
9,02 |
-7,18 |
-6,24 |
31/mrt/2026 |
-1,54 |
-0,52 |
21,99 |
6,17 |
37,49 |
50,16 |
31/mrt/2026 |
-1,74 |
-13,59 |
6,12 |
7,81 |
8,36 |
31/dec/2025 |
04/dec/2013 |
348.599,17 |
8,81 |
- |
851,79 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1003076855 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,81 |
5,37 |
5,69 |
2,23 |
2,97 |
2,60 |
31/mrt/2026 |
5,37 |
5,54 |
6,17 |
-2,60 |
-2,92 |
31/mrt/2026 |
-0,81 |
0,50 |
18,07 |
11,64 |
34,01 |
37,11 |
31/mrt/2026 |
-0,01 |
-6,52 |
6,66 |
4,44 |
7,88 |
31/dec/2025 |
11/dec/2013 |
19.037.875,28 |
10,34 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1003076939 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,81 |
5,26 |
5,69 |
2,23 |
2,98 |
2,59 |
31/mrt/2026 |
5,26 |
5,64 |
6,17 |
-2,60 |
-2,92 |
31/mrt/2026 |
-0,81 |
0,50 |
18,05 |
11,64 |
34,15 |
36,99 |
31/mrt/2026 |
-0,01 |
-6,52 |
6,66 |
4,44 |
7,88 |
31/dec/2025 |
11/dec/2013 |
1.787.572,48 |
10,33 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1003076772 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,73 |
9,78 |
11,76 |
9,38 |
8,32 |
8,48 |
31/mrt/2026 |
9,78 |
10,08 |
15,52 |
3,59 |
8,27 |
31/mrt/2026 |
-1,73 |
4,23 |
39,60 |
56,57 |
122,43 |
172,07 |
31/mrt/2026 |
21,05 |
-9,40 |
16,65 |
9,71 |
19,35 |
31/dec/2025 |
11/dec/2013 |
12.309.664,18 |
29,40 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1005243339 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,93 |
-1,28 |
3,72 |
2,59 |
2,86 |
4,02 |
31/mrt/2026 |
-1,28 |
5,45 |
7,16 |
-0,89 |
2,79 |
31/mrt/2026 |
0,93 |
2,22 |
11,57 |
13,66 |
32,59 |
61,24 |
31/mrt/2026 |
8,13 |
-0,79 |
2,90 |
11,46 |
-4,52 |
31/dec/2025 |
18/dec/2013 |
168.631,11 |
8,83 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1005243685 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,81 |
-1,79 |
3,18 |
2,08 |
2,35 |
3,58 |
31/mrt/2026 |
-1,79 |
4,96 |
6,57 |
-1,27 |
2,18 |
31/mrt/2026 |
0,81 |
1,93 |
9,86 |
10,83 |
26,13 |
54,04 |
31/mrt/2026 |
7,67 |
-1,33 |
2,46 |
10,84 |
-5,03 |
31/dec/2025 |
18/dec/2013 |
29.722.562,95 |
13,65 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1005244220 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,82 |
-1,38 |
3,68 |
2,57 |
2,85 |
4,01 |
31/mrt/2026 |
-1,38 |
5,46 |
7,17 |
-0,79 |
2,67 |
31/mrt/2026 |
0,82 |
2,10 |
11,46 |
13,54 |
32,44 |
61,05 |
31/mrt/2026 |
8,12 |
-0,80 |
2,91 |
11,45 |
-4,50 |
31/dec/2025 |
18/dec/2013 |
3.801.564,02 |
8,84 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1005243503 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
1,00 |
-0,80 |
4,21 |
3,10 |
3,38 |
4,62 |
31/mrt/2026 |
-0,80 |
5,99 |
7,63 |
-0,28 |
3,24 |
31/mrt/2026 |
1,00 |
2,47 |
13,17 |
16,51 |
39,43 |
74,14 |
31/mrt/2026 |
8,73 |
-0,35 |
3,47 |
11,95 |
-4,02 |
31/dec/2025 |
18/dec/2013 |
19.548.785,87 |
16,10 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1005243255 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,93 |
-1,30 |
3,69 |
2,58 |
2,86 |
4,10 |
31/mrt/2026 |
-1,30 |
5,51 |
7,07 |
-0,80 |
2,70 |
31/mrt/2026 |
0,93 |
2,23 |
11,50 |
13,59 |
32,60 |
63,74 |
31/mrt/2026 |
8,07 |
-0,80 |
2,99 |
11,42 |
-4,58 |
31/dec/2025 |
18/dec/2013 |
21.543.691,31 |
15,07 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU1005243099 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,56 |
1,41 |
0,53 |
-1,59 |
0,05 |
0,07 |
31/mrt/2026 |
1,41 |
0,10 |
0,10 |
-6,05 |
-3,29 |
31/mrt/2026 |
-1,56 |
-1,27 |
1,61 |
-7,69 |
0,50 |
0,90 |
31/mrt/2026 |
-0,46 |
-8,70 |
0,60 |
-1,30 |
3,54 |
31/dec/2025 |
08/jan/2014 |
141.465.244,23 |
1.016,00 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU1003077747 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,72 |
11,63 |
7,74 |
4,52 |
5,56 |
5,03 |
31/mrt/2026 |
11,63 |
-0,09 |
12,14 |
-7,11 |
7,35 |
31/mrt/2026 |
-4,72 |
-2,20 |
25,07 |
24,72 |
71,87 |
82,33 |
31/mrt/2026 |
16,60 |
-15,51 |
13,93 |
6,63 |
14,52 |
31/dec/2025 |
08/jan/2014 |
3.746.649,59 |
138,29 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1003077663 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,29 |
7,75 |
6,99 |
2,10 |
3,17 |
2,76 |
31/mrt/2026 |
7,75 |
4,58 |
8,67 |
-8,59 |
-0,88 |
31/mrt/2026 |
-1,29 |
0,39 |
22,46 |
10,96 |
36,66 |
39,54 |
31/mrt/2026 |
5,43 |
-14,34 |
8,68 |
5,74 |
10,25 |
31/dec/2025 |
08/jan/2014 |
23.231.177,83 |
7,77 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1003077580 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,77 |
6,17 |
6,08 |
1,82 |
3,40 |
2,98 |
31/mrt/2026 |
6,17 |
3,60 |
8,51 |
-7,51 |
-0,88 |
31/mrt/2026 |
-1,77 |
-0,42 |
19,36 |
9,43 |
39,75 |
43,12 |
31/mrt/2026 |
5,59 |
-13,72 |
8,93 |
5,21 |
8,58 |
31/dec/2025 |
08/jan/2014 |
12.477.039,81 |
7,69 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1003077408 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,09 |
9,24 |
8,44 |
3,75 |
5,23 |
4,56 |
31/mrt/2026 |
9,24 |
5,69 |
10,45 |
-6,02 |
0,32 |
31/mrt/2026 |
-1,09 |
0,90 |
27,52 |
20,22 |
66,50 |
72,55 |
31/mrt/2026 |
6,66 |
-12,32 |
10,86 |
7,11 |
11,69 |
31/dec/2025 |
08/jan/2014 |
1.168.786.857,50 |
9,45 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1019634622 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,55 |
6,24 |
9,23 |
7,60 |
7,07 |
7,19 |
31/mrt/2026 |
6,24 |
8,09 |
13,49 |
2,39 |
8,07 |
31/mrt/2026 |
-2,55 |
2,64 |
30,33 |
44,22 |
97,98 |
132,82 |
31/mrt/2026 |
20,96 |
-10,24 |
14,63 |
7,83 |
15,90 |
31/dec/2025 |
30/jan/2014 |
149.139.108,39 |
14,64 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1019632923 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,73 |
9,81 |
11,78 |
9,39 |
8,32 |
8,17 |
31/mrt/2026 |
9,81 |
10,06 |
15,56 |
3,55 |
8,31 |
31/mrt/2026 |
-1,73 |
4,28 |
39,67 |
56,64 |
122,30 |
160,04 |
31/mrt/2026 |
21,04 |
-9,37 |
16,58 |
9,74 |
19,38 |
31/dec/2025 |
30/jan/2014 |
106.045.002,53 |
16,43 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1019636163 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,92 |
7,82 |
10,00 |
7,77 |
7,19 |
7,58 |
31/mrt/2026 |
7,82 |
8,70 |
13,57 |
1,46 |
7,66 |
31/mrt/2026 |
-1,92 |
3,94 |
33,10 |
45,39 |
100,19 |
143,35 |
31/mrt/2026 |
20,29 |
-10,79 |
14,32 |
8,08 |
17,38 |
31/dec/2025 |
30/jan/2014 |
30.120.868,60 |
13,57 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1023057109 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,95 |
0,36 |
1,71 |
-9,88 |
1,68 |
2,70 |
31/mrt/2026 |
0,36 |
27,85 |
-18,00 |
-16,07 |
-32,67 |
31/mrt/2026 |
-6,95 |
-13,97 |
5,22 |
-40,54 |
18,10 |
37,94 |
31/mrt/2026 |
-15,79 |
-33,28 |
-14,76 |
13,65 |
20,78 |
31/dec/2025 |
26/feb/2014 |
51.043.162,73 |
14,94 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU1023060079 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,40 |
2,70 |
3,77 |
3,85 |
7,15 |
5,97 |
31/mrt/2026 |
2,70 |
-6,97 |
16,96 |
0,17 |
7,91 |
31/mrt/2026 |
-5,40 |
-4,18 |
11,75 |
20,79 |
99,41 |
101,60 |
31/mrt/2026 |
29,57 |
-23,16 |
19,57 |
7,47 |
5,03 |
31/dec/2025 |
26/feb/2014 |
831.696,16 |
21,37 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
NZD |
LU1023060319 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,56 |
1,89 |
3,83 |
3,70 |
7,31 |
6,57 |
31/mrt/2026 |
1,89 |
-6,40 |
17,37 |
-0,87 |
8,11 |
31/mrt/2026 |
-5,56 |
-4,30 |
11,92 |
19,94 |
102,53 |
115,90 |
31/mrt/2026 |
29,51 |
-23,87 |
19,98 |
7,86 |
4,72 |
31/dec/2025 |
26/feb/2014 |
1.168.643,79 |
22,88 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1023061473 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-1,79 |
16,55 |
15,92 |
12,99 |
9,73 |
8,34 |
31/mrt/2026 |
16,55 |
13,62 |
17,62 |
7,98 |
9,51 |
31/mrt/2026 |
-1,79 |
6,47 |
55,77 |
84,20 |
153,03 |
163,40 |
31/mrt/2026 |
22,58 |
-1,66 |
16,54 |
13,87 |
26,63 |
31/dec/2025 |
26/feb/2014 |
51.136.406,63 |
27,34 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
ZAR |
LU1023055079 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,17 |
15,15 |
11,45 |
8,11 |
9,93 |
9,57 |
31/mrt/2026 |
15,15 |
3,29 |
16,39 |
-4,58 |
11,80 |
31/mrt/2026 |
-4,17 |
-0,86 |
38,43 |
47,67 |
157,78 |
202,63 |
31/mrt/2026 |
21,59 |
-13,11 |
17,99 |
10,55 |
18,31 |
31/dec/2025 |
19/feb/2014 |
24.114.553,34 |
154,52 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1023057448 |
BGF Systematic Global SmallCap Fund |
BlackRock (Luxembourg) S.A. |
0,97 |
26,55 |
11,95 |
5,26 |
7,63 |
5,37 |
31/mrt/2026 |
26,55 |
-2,49 |
13,71 |
-10,29 |
2,68 |
31/mrt/2026 |
0,97 |
3,18 |
40,31 |
29,24 |
108,53 |
88,30 |
31/mrt/2026 |
16,62 |
-18,00 |
14,58 |
5,35 |
19,86 |
31/dec/2025 |
26/feb/2014 |
1.069.134,95 |
20,54 |
- |
610,02 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023057877 |
BGF Latin American Fund |
BlackRock (Luxembourg) S.A. |
9,78 |
38,89 |
10,15 |
5,07 |
3,25 |
0,79 |
31/mrt/2026 |
38,89 |
-21,35 |
22,36 |
-14,45 |
11,99 |
31/mrt/2026 |
9,78 |
11,22 |
33,66 |
28,06 |
37,67 |
10,00 |
31/mrt/2026 |
-16,27 |
4,76 |
32,56 |
-35,22 |
43,35 |
31/dec/2025 |
26/feb/2014 |
3.630.960,10 |
11,04 |
- |
704,17 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023058412 |
BGF US Mid-Cap Value Fund |
BlackRock (Luxembourg) S.A. |
-3,86 |
8,34 |
6,78 |
3,72 |
7,00 |
6,18 |
31/mrt/2026 |
8,34 |
-2,10 |
14,79 |
-11,38 |
11,27 |
31/mrt/2026 |
-3,86 |
-1,71 |
21,74 |
20,05 |
96,76 |
106,60 |
31/mrt/2026 |
24,32 |
-7,85 |
8,87 |
5,54 |
10,60 |
31/dec/2025 |
26/feb/2014 |
407.116,82 |
22,09 |
- |
339,23 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023059493 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
7,95 |
71,42 |
14,29 |
9,37 |
12,73 |
4,95 |
31/mrt/2026 |
71,42 |
-3,86 |
-9,41 |
-18,91 |
29,23 |
31/mrt/2026 |
7,95 |
25,47 |
49,29 |
56,46 |
231,42 |
79,30 |
31/mrt/2026 |
14,03 |
-3,20 |
-3,56 |
-12,83 |
67,44 |
31/dec/2025 |
26/feb/2014 |
47.751.550,69 |
18,62 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023062109 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,36 |
-5,55 |
-0,20 |
0,77 |
5,73 |
6,44 |
31/mrt/2026 |
-5,55 |
-8,94 |
15,56 |
-1,97 |
6,64 |
31/mrt/2026 |
-4,36 |
-6,30 |
-0,61 |
3,91 |
74,63 |
112,70 |
31/mrt/2026 |
26,18 |
-25,19 |
17,39 |
6,05 |
-5,28 |
31/dec/2025 |
26/feb/2014 |
630.225,44 |
22,63 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1023063255 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,46 |
-4,77 |
0,93 |
1,53 |
5,53 |
5,96 |
31/mrt/2026 |
-4,77 |
-7,52 |
16,73 |
-1,90 |
6,96 |
31/mrt/2026 |
-4,46 |
-6,32 |
2,81 |
7,87 |
71,34 |
101,50 |
31/mrt/2026 |
26,26 |
-25,18 |
18,69 |
7,38 |
-3,96 |
31/dec/2025 |
26/feb/2014 |
1.846.519,92 |
21,43 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023059063 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,21 |
1,86 |
2,95 |
2,36 |
7,23 |
6,90 |
31/mrt/2026 |
1,86 |
-3,30 |
10,76 |
-5,70 |
9,23 |
31/mrt/2026 |
-5,21 |
5,41 |
9,11 |
12,39 |
101,08 |
124,00 |
31/mrt/2026 |
13,49 |
-6,57 |
-0,05 |
0,52 |
11,67 |
31/dec/2025 |
26/feb/2014 |
54.429.257,89 |
22,12 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023059733 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,03 |
2,82 |
3,44 |
3,33 |
6,95 |
6,07 |
31/mrt/2026 |
2,82 |
-7,08 |
15,85 |
-1,29 |
7,80 |
31/mrt/2026 |
-5,03 |
-3,50 |
10,69 |
17,79 |
95,87 |
103,90 |
31/mrt/2026 |
29,36 |
-23,97 |
18,17 |
6,85 |
5,09 |
31/dec/2025 |
26/feb/2014 |
1.774.534,55 |
21,63 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU1023061713 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,15 |
14,39 |
14,42 |
11,84 |
8,83 |
7,58 |
31/mrt/2026 |
14,39 |
12,51 |
16,39 |
6,82 |
9,34 |
31/mrt/2026 |
-2,15 |
5,85 |
49,79 |
74,96 |
133,05 |
142,02 |
31/mrt/2026 |
22,44 |
-2,40 |
15,17 |
12,55 |
24,60 |
31/dec/2025 |
26/feb/2014 |
14.940.291,15 |
250,82 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023058172 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,08 |
36,52 |
15,87 |
18,89 |
7,00 |
2,00 |
31/mrt/2026 |
36,52 |
-1,59 |
15,79 |
-0,37 |
53,27 |
31/mrt/2026 |
36,08 |
37,55 |
55,57 |
137,57 |
96,75 |
27,10 |
31/mrt/2026 |
38,85 |
35,45 |
1,64 |
0,35 |
7,48 |
31/dec/2025 |
26/feb/2014 |
19.878.836,27 |
12,34 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023058768 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,90 |
98,67 |
38,74 |
18,76 |
11,91 |
8,51 |
31/mrt/2026 |
98,67 |
44,34 |
-6,87 |
-16,74 |
6,25 |
31/mrt/2026 |
1,90 |
22,06 |
167,06 |
136,27 |
208,15 |
168,40 |
31/mrt/2026 |
-11,98 |
-20,34 |
3,00 |
11,21 |
155,23 |
31/dec/2025 |
26/feb/2014 |
51.551.348,30 |
26,89 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023056804 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-3,52 |
21,85 |
6,86 |
-1,34 |
5,00 |
4,63 |
31/mrt/2026 |
21,85 |
4,80 |
-4,45 |
-10,03 |
-14,86 |
31/mrt/2026 |
-3,52 |
-0,35 |
22,02 |
-6,54 |
62,96 |
72,90 |
31/mrt/2026 |
-5,53 |
-20,41 |
-0,74 |
4,79 |
28,09 |
31/dec/2025 |
26/feb/2014 |
5.276.096,44 |
20,21 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
ZAR |
LU1023054775 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
0,06 |
8,30 |
8,98 |
2,40 |
5,92 |
6,89 |
31/mrt/2026 |
8,30 |
9,74 |
8,90 |
-3,79 |
-9,58 |
31/mrt/2026 |
0,06 |
1,62 |
29,44 |
12,60 |
77,74 |
124,18 |
31/mrt/2026 |
-3,21 |
-13,34 |
8,82 |
9,31 |
12,06 |
31/dec/2025 |
19/feb/2014 |
73.953.473,62 |
77,03 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU1023055319 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,73 |
8,24 |
10,79 |
5,95 |
8,99 |
8,11 |
31/mrt/2026 |
8,24 |
9,90 |
14,31 |
-3,25 |
1,46 |
31/mrt/2026 |
-0,73 |
1,25 |
35,98 |
33,48 |
136,54 |
157,15 |
31/mrt/2026 |
6,90 |
-10,10 |
15,00 |
11,20 |
10,71 |
31/dec/2025 |
19/feb/2014 |
187.584.522,51 |
78,18 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU1023056127 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,78 |
8,93 |
10,67 |
6,58 |
9,27 |
8,32 |
31/mrt/2026 |
8,93 |
8,89 |
14,28 |
-2,22 |
3,75 |
31/mrt/2026 |
-0,78 |
1,55 |
35,55 |
37,51 |
142,59 |
163,24 |
31/mrt/2026 |
9,10 |
-9,13 |
15,52 |
10,35 |
11,05 |
31/dec/2025 |
19/feb/2014 |
141.871.952,53 |
78,86 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1023062521 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,72 |
-5,66 |
0,08 |
1,24 |
5,92 |
6,33 |
31/mrt/2026 |
-5,66 |
-8,88 |
16,60 |
-0,52 |
6,68 |
31/mrt/2026 |
-4,72 |
-6,91 |
0,24 |
6,38 |
77,75 |
110,10 |
31/mrt/2026 |
26,30 |
-24,44 |
18,80 |
6,59 |
-5,37 |
31/dec/2025 |
26/feb/2014 |
229.133,35 |
22,34 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1023060665 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,11 |
3,73 |
4,64 |
4,12 |
6,76 |
5,67 |
31/mrt/2026 |
3,73 |
-5,63 |
17,06 |
-1,28 |
8,17 |
31/mrt/2026 |
-5,11 |
-3,52 |
14,59 |
22,36 |
92,30 |
94,80 |
31/mrt/2026 |
29,54 |
-23,98 |
19,46 |
8,20 |
6,59 |
31/dec/2025 |
26/feb/2014 |
1.964.557,63 |
20,64 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1023061044 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-1,98 |
14,42 |
14,01 |
11,28 |
8,42 |
7,58 |
31/mrt/2026 |
14,42 |
12,08 |
15,55 |
5,83 |
8,82 |
31/mrt/2026 |
-1,98 |
6,19 |
48,19 |
70,66 |
124,49 |
142,00 |
31/mrt/2026 |
21,64 |
-3,31 |
14,33 |
12,08 |
24,38 |
31/dec/2025 |
26/feb/2014 |
1.082.038,49 |
25,14 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1040967272 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
2,82 |
3,48 |
1,59 |
1,33 |
1,38 |
31/mrt/2026 |
2,82 |
3,51 |
4,10 |
0,49 |
-2,82 |
31/mrt/2026 |
-1,28 |
-0,44 |
10,80 |
8,20 |
14,15 |
17,97 |
31/mrt/2026 |
-1,54 |
-0,93 |
2,81 |
3,85 |
4,98 |
31/dec/2025 |
05/mrt/2014 |
- |
113,65 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0784383712 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,80 |
5,63 |
5,25 |
0,69 |
2,07 |
1,67 |
31/mrt/2026 |
5,63 |
3,01 |
7,14 |
-9,80 |
-1,56 |
31/mrt/2026 |
-1,80 |
-0,61 |
16,58 |
3,52 |
22,75 |
22,10 |
31/mrt/2026 |
4,82 |
-15,49 |
7,16 |
4,38 |
8,07 |
31/dec/2025 |
19/mrt/2014 |
21.357.218,56 |
6,73 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1046547540 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,83 |
5,10 |
5,46 |
3,51 |
3,31 |
3,02 |
31/mrt/2026 |
5,10 |
5,17 |
6,10 |
3,33 |
-1,97 |
31/mrt/2026 |
-0,83 |
0,55 |
17,28 |
18,80 |
38,47 |
42,94 |
31/mrt/2026 |
-0,75 |
1,45 |
5,09 |
5,49 |
7,26 |
31/dec/2025 |
02/apr/2014 |
- |
144,36 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1046547201 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,81 |
0,54 |
1,04 |
-0,02 |
0,32 |
0,38 |
31/mrt/2026 |
0,54 |
0,82 |
1,77 |
-0,22 |
-2,97 |
31/mrt/2026 |
-1,81 |
-1,57 |
3,16 |
-0,12 |
3,21 |
4,65 |
31/mrt/2026 |
-1,79 |
-1,23 |
0,72 |
1,16 |
2,59 |
31/dec/2025 |
02/apr/2014 |
- |
100,61 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1046548191 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,82 |
5,12 |
5,46 |
3,51 |
3,31 |
3,03 |
31/mrt/2026 |
5,12 |
5,17 |
6,09 |
3,33 |
-1,97 |
31/mrt/2026 |
-0,82 |
0,56 |
17,29 |
18,80 |
38,51 |
43,05 |
31/mrt/2026 |
-0,75 |
1,44 |
5,08 |
5,50 |
7,26 |
31/dec/2025 |
02/apr/2014 |
- |
138,59 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU0589446532 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,80 |
0,54 |
1,04 |
-0,03 |
0,31 |
0,37 |
31/mrt/2026 |
0,54 |
0,82 |
1,77 |
-0,25 |
-2,97 |
31/mrt/2026 |
-1,80 |
-1,56 |
3,16 |
-0,15 |
3,16 |
4,55 |
31/mrt/2026 |
-1,80 |
-1,26 |
0,72 |
1,17 |
2,58 |
31/dec/2025 |
02/apr/2014 |
- |
105,23 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1051768569 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,42 |
7,04 |
9,57 |
7,18 |
6,24 |
6,26 |
31/mrt/2026 |
7,04 |
8,40 |
13,36 |
0,43 |
7,08 |
31/mrt/2026 |
-2,42 |
2,97 |
31,53 |
41,45 |
83,15 |
107,16 |
31/mrt/2026 |
20,09 |
-11,94 |
13,94 |
8,08 |
16,80 |
31/dec/2025 |
02/apr/2014 |
113.584.690,34 |
13,13 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1051767835 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,86 |
5,33 |
5,69 |
2,22 |
2,98 |
2,43 |
31/mrt/2026 |
5,33 |
5,54 |
6,18 |
-2,56 |
-2,99 |
31/mrt/2026 |
-0,86 |
0,45 |
18,05 |
11,59 |
34,11 |
33,43 |
31/mrt/2026 |
-0,09 |
-6,48 |
6,57 |
4,51 |
7,93 |
31/dec/2025 |
02/apr/2014 |
6.699.573,31 |
11,43 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1051768304 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,06 |
34,13 |
14,90 |
4,13 |
8,42 |
5,78 |
31/mrt/2026 |
34,13 |
3,78 |
8,98 |
-6,47 |
-13,70 |
31/mrt/2026 |
-0,06 |
5,37 |
51,70 |
22,45 |
124,37 |
96,25 |
31/mrt/2026 |
-0,71 |
-21,45 |
14,56 |
-1,41 |
41,91 |
31/dec/2025 |
02/apr/2014 |
16.914.445,80 |
18,83 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1048596156 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,58 |
21,25 |
7,17 |
-2,65 |
4,53 |
4,47 |
31/mrt/2026 |
21,25 |
5,37 |
-3,64 |
-12,83 |
-18,53 |
31/mrt/2026 |
-4,58 |
-1,75 |
23,10 |
-12,58 |
55,81 |
68,90 |
31/mrt/2026 |
-5,90 |
-25,07 |
-0,30 |
6,64 |
26,61 |
31/dec/2025 |
09/apr/2014 |
20.044.142,81 |
19,69 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1048588211 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-4,04 |
19,97 |
6,18 |
-1,32 |
5,05 |
4,22 |
31/mrt/2026 |
19,97 |
4,35 |
-4,38 |
-8,73 |
-14,38 |
31/mrt/2026 |
-4,04 |
-1,50 |
19,71 |
-6,45 |
63,67 |
64,00 |
31/mrt/2026 |
-4,90 |
-19,49 |
-0,39 |
4,57 |
26,50 |
31/dec/2025 |
09/apr/2014 |
81.511.855,67 |
19,14 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU1051770623 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,08 |
7,71 |
10,31 |
8,25 |
7,46 |
7,44 |
31/mrt/2026 |
7,71 |
9,00 |
14,33 |
2,42 |
8,14 |
31/mrt/2026 |
-2,08 |
3,63 |
34,23 |
48,67 |
105,32 |
135,90 |
31/mrt/2026 |
20,90 |
-10,08 |
15,26 |
8,51 |
17,37 |
31/dec/2025 |
16/apr/2014 |
74.790.306,96 |
240,84 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1051769021 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,17 |
3,32 |
4,27 |
1,14 |
2,12 |
1,75 |
31/mrt/2026 |
3,32 |
4,51 |
5,00 |
-3,65 |
-3,12 |
31/mrt/2026 |
-1,17 |
-0,12 |
13,37 |
5,84 |
23,40 |
23,05 |
31/mrt/2026 |
-0,17 |
-7,22 |
5,30 |
3,21 |
6,14 |
31/dec/2025 |
16/apr/2014 |
14.918.796,42 |
81,31 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1051771274 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,93 |
8,83 |
11,12 |
8,49 |
6,99 |
7,13 |
31/mrt/2026 |
8,83 |
9,90 |
14,71 |
1,54 |
7,87 |
31/mrt/2026 |
-1,93 |
3,95 |
37,20 |
50,28 |
96,47 |
127,81 |
31/mrt/2026 |
20,52 |
-10,94 |
15,56 |
9,35 |
18,65 |
31/dec/2025 |
16/apr/2014 |
9.557.257,19 |
17,81 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1051769294 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,46 |
31,70 |
13,37 |
3,00 |
7,51 |
5,03 |
31/mrt/2026 |
31,70 |
2,70 |
7,75 |
-7,56 |
-13,92 |
31/mrt/2026 |
-0,46 |
4,73 |
45,72 |
15,95 |
106,36 |
79,86 |
31/mrt/2026 |
-0,91 |
-22,15 |
13,21 |
-2,65 |
39,72 |
31/dec/2025 |
16/apr/2014 |
17.973.581,99 |
134,25 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1057296771 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,45 |
10,06 |
10,98 |
2,59 |
2,60 |
2,59 |
31/mrt/2026 |
10,06 |
6,76 |
16,33 |
-11,74 |
-5,78 |
31/mrt/2026 |
-1,45 |
2,26 |
36,69 |
13,66 |
29,27 |
35,60 |
31/mrt/2026 |
-3,15 |
-18,23 |
14,05 |
7,68 |
14,10 |
31/dec/2025 |
30/apr/2014 |
13.785.267,76 |
14,02 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1057294990 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,92 |
0,00 |
2,03 |
2,12 |
7,03 |
7,00 |
31/mrt/2026 |
0,00 |
-4,11 |
10,77 |
-4,87 |
9,92 |
31/mrt/2026 |
-5,92 |
3,95 |
6,21 |
11,06 |
97,27 |
123,90 |
31/mrt/2026 |
14,09 |
-5,81 |
0,23 |
0,00 |
10,03 |
31/dec/2025 |
30/apr/2014 |
162.013.886,73 |
22,04 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1062842700 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,00 |
3,13 |
3,54 |
-3,12 |
-0,87 |
-0,09 |
31/mrt/2026 |
3,13 |
4,35 |
3,14 |
-9,63 |
-14,93 |
31/mrt/2026 |
-1,00 |
-0,80 |
11,00 |
-14,67 |
-8,34 |
-1,10 |
31/mrt/2026 |
-8,80 |
-18,65 |
2,85 |
4,10 |
6,39 |
31/dec/2025 |
07/mei/2014 |
2.549.459,02 |
9,95 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1062842882 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,02 |
7,31 |
8,66 |
0,55 |
0,90 |
0,92 |
31/mrt/2026 |
7,31 |
4,63 |
14,27 |
-13,62 |
-7,28 |
31/mrt/2026 |
-2,02 |
0,90 |
28,31 |
2,76 |
9,42 |
11,50 |
31/mrt/2026 |
-4,33 |
-20,06 |
11,91 |
5,68 |
11,24 |
31/dec/2025 |
07/mei/2014 |
40.364.604,98 |
11,51 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1062842965 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,03 |
7,33 |
8,69 |
0,55 |
0,91 |
0,93 |
31/mrt/2026 |
7,33 |
4,55 |
14,42 |
-13,69 |
-7,26 |
31/mrt/2026 |
-2,03 |
0,99 |
28,40 |
2,78 |
9,53 |
11,58 |
31/mrt/2026 |
-4,37 |
-20,05 |
11,89 |
5,73 |
11,24 |
31/dec/2025 |
07/mei/2014 |
15.239.851,25 |
7,75 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1062843005 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,31 |
0,92 |
3,86 |
-1,46 |
0,78 |
0,79 |
31/mrt/2026 |
0,92 |
4,41 |
6,33 |
-9,76 |
-8,12 |
31/mrt/2026 |
-2,31 |
-2,23 |
12,04 |
-7,11 |
8,07 |
9,80 |
31/mrt/2026 |
-3,62 |
-15,86 |
3,34 |
5,00 |
4,95 |
31/dec/2025 |
07/mei/2014 |
2.285.619,74 |
11,19 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1062843187 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,28 |
0,98 |
3,89 |
-1,46 |
0,78 |
0,80 |
31/mrt/2026 |
0,98 |
4,35 |
6,41 |
-9,85 |
-8,10 |
31/mrt/2026 |
-2,28 |
-2,13 |
12,13 |
-7,10 |
8,13 |
9,94 |
31/mrt/2026 |
-3,53 |
-15,94 |
3,36 |
4,98 |
5,00 |
31/dec/2025 |
07/mei/2014 |
1.695.656,05 |
7,62 |
- |
851,79 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1062843260 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,50 |
8,32 |
3,34 |
-0,45 |
-1,02 |
-2,17 |
31/mrt/2026 |
8,32 |
-2,29 |
4,28 |
-1,09 |
-10,44 |
31/mrt/2026 |
-3,50 |
-0,86 |
10,37 |
-2,23 |
-9,78 |
-22,98 |
31/mrt/2026 |
-9,75 |
-12,55 |
11,89 |
-8,41 |
16,23 |
31/dec/2025 |
07/mei/2014 |
2.842.907,76 |
4,46 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1061106388 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,56 |
1,08 |
3,00 |
2,66 |
7,42 |
7,33 |
31/mrt/2026 |
1,08 |
-3,17 |
11,65 |
-4,99 |
9,85 |
31/mrt/2026 |
-5,56 |
4,84 |
9,27 |
14,04 |
104,65 |
131,99 |
31/mrt/2026 |
14,03 |
-5,93 |
0,89 |
0,75 |
11,20 |
31/dec/2025 |
07/mei/2014 |
148.752.963,33 |
228,50 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1062843344 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,49 |
6,68 |
6,27 |
1,61 |
2,98 |
2,40 |
31/mrt/2026 |
6,68 |
3,93 |
8,24 |
-9,13 |
-0,65 |
31/mrt/2026 |
-1,49 |
-0,08 |
20,00 |
8,33 |
34,07 |
32,60 |
31/mrt/2026 |
5,82 |
-14,78 |
8,03 |
5,38 |
9,08 |
31/dec/2025 |
07/mei/2014 |
18.489.222,79 |
13,67 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1062843690 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,83 |
5,22 |
4,80 |
0,21 |
1,57 |
1,02 |
31/mrt/2026 |
5,22 |
2,49 |
6,73 |
-10,42 |
-1,97 |
31/mrt/2026 |
-1,83 |
-0,79 |
15,10 |
1,08 |
16,89 |
12,80 |
31/mrt/2026 |
4,36 |
-15,94 |
6,53 |
3,89 |
7,58 |
31/dec/2025 |
07/mei/2014 |
29.558.652,02 |
11,61 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1062843773 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,68 |
1,18 |
2,29 |
0,38 |
0,94 |
0,91 |
31/mrt/2026 |
1,18 |
3,45 |
2,24 |
-0,91 |
-3,91 |
31/mrt/2026 |
-0,68 |
-0,18 |
7,01 |
1,90 |
9,78 |
11,30 |
31/mrt/2026 |
-0,75 |
-5,20 |
3,39 |
2,53 |
2,94 |
31/dec/2025 |
21/mei/2014 |
1.751.850,90 |
8,54 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU0784383399 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,81 |
5,75 |
5,28 |
0,70 |
2,06 |
1,52 |
31/mrt/2026 |
5,75 |
2,91 |
7,22 |
-9,85 |
-1,56 |
31/mrt/2026 |
-1,81 |
-0,58 |
16,68 |
3,55 |
22,66 |
19,60 |
31/mrt/2026 |
4,84 |
-15,52 |
7,05 |
4,45 |
8,17 |
31/dec/2025 |
07/mei/2014 |
15.540.098,50 |
12,32 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1062906877 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,46 |
11,32 |
7,01 |
2,26 |
6,25 |
5,63 |
31/mrt/2026 |
11,32 |
-0,92 |
11,10 |
-9,07 |
0,38 |
31/mrt/2026 |
-4,46 |
-1,98 |
22,54 |
11,85 |
83,36 |
91,43 |
31/mrt/2026 |
8,72 |
-16,48 |
9,22 |
5,73 |
14,15 |
31/dec/2025 |
21/mei/2014 |
282.238.359,52 |
203,22 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1065150267 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,70 |
1,72 |
2,21 |
-0,30 |
0,63 |
0,27 |
31/mrt/2026 |
1,72 |
-1,40 |
6,45 |
2,31 |
-9,83 |
31/mrt/2026 |
-1,70 |
1,20 |
6,77 |
-1,50 |
6,48 |
3,23 |
31/mrt/2026 |
-4,32 |
-7,72 |
5,41 |
1,78 |
5,48 |
31/dec/2025 |
07/mei/2014 |
3.001.882,94 |
23,85 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1072326561 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
0,26 |
3,54 |
9,43 |
3,72 |
3,66 |
4,88 |
31/mrt/2026 |
3,54 |
6,86 |
18,43 |
-8,35 |
-0,02 |
31/mrt/2026 |
0,26 |
4,06 |
31,03 |
20,06 |
43,20 |
75,75 |
31/mrt/2026 |
4,89 |
-11,67 |
11,33 |
15,23 |
1,27 |
31/dec/2025 |
28/mei/2014 |
33.342.097,20 |
11,77 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1072327023 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,11 |
6,28 |
8,29 |
2,92 |
4,47 |
3,42 |
31/mrt/2026 |
6,28 |
7,51 |
11,13 |
-6,67 |
-2,54 |
31/mrt/2026 |
-1,11 |
0,41 |
26,98 |
15,50 |
54,86 |
48,84 |
31/mrt/2026 |
2,70 |
-13,57 |
11,82 |
8,66 |
8,51 |
31/dec/2025 |
28/mei/2014 |
2.501.763,61 |
8,12 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1072451542 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,32 |
5,57 |
5,74 |
-0,10 |
0,33 |
0,46 |
31/mrt/2026 |
5,57 |
1,29 |
10,57 |
-5,70 |
-10,73 |
31/mrt/2026 |
-2,32 |
0,62 |
18,22 |
-0,48 |
3,40 |
5,63 |
31/mrt/2026 |
-13,14 |
-9,75 |
11,90 |
0,27 |
8,85 |
31/dec/2025 |
28/mei/2014 |
- |
107,93 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| QDIV |
USD |
IE00BKM4H312 |
iShares MSCI USA Quality Dividend Advanced UCITS ETF |
iShares II plc |
-0,21 |
16,84 |
14,10 |
9,91 |
10,29 |
9,70 |
31/mrt/2026 |
16,84 |
5,29 |
20,75 |
-2,36 |
10,58 |
31/mrt/2026 |
-0,21 |
1,96 |
48,54 |
60,38 |
166,31 |
198,54 |
31/mrt/2026 |
20,98 |
-6,46 |
13,94 |
15,22 |
16,36 |
31/dec/2025 |
06/jun/2014 |
662.570.108,05 |
61,99 |
- |
679,20 |
01/mei/2026 |
Distributie |
| - |
USD |
LU1069250113 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,96 |
13,75 |
13,54 |
7,52 |
5,13 |
4,10 |
31/mrt/2026 |
13,75 |
9,13 |
17,91 |
2,08 |
-3,83 |
31/mrt/2026 |
2,96 |
4,69 |
46,38 |
43,70 |
64,94 |
60,78 |
31/mrt/2026 |
2,65 |
0,12 |
10,02 |
16,35 |
12,48 |
31/dec/2025 |
02/jun/2014 |
- |
164,58 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1069250972 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,67 |
11,94 |
12,10 |
6,24 |
3,76 |
2,99 |
31/mrt/2026 |
11,94 |
8,07 |
16,45 |
0,28 |
-4,18 |
31/mrt/2026 |
2,67 |
3,96 |
40,87 |
35,35 |
44,70 |
41,66 |
31/mrt/2026 |
2,33 |
-1,30 |
8,41 |
15,19 |
10,76 |
31/dec/2025 |
02/jun/2014 |
- |
144,83 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1069251277 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,40 |
10,78 |
10,89 |
5,08 |
2,62 |
1,86 |
31/mrt/2026 |
10,78 |
6,88 |
15,16 |
-0,86 |
-5,25 |
31/mrt/2026 |
2,40 |
3,40 |
36,36 |
28,09 |
29,53 |
24,36 |
31/mrt/2026 |
1,21 |
-2,42 |
7,21 |
13,93 |
9,60 |
31/dec/2025 |
02/jun/2014 |
- |
127,03 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1072457747 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,97 |
7,47 |
7,32 |
1,32 |
1,44 |
1,47 |
31/mrt/2026 |
7,47 |
2,76 |
11,92 |
-4,14 |
-9,86 |
31/mrt/2026 |
-1,97 |
1,45 |
23,59 |
6,80 |
15,33 |
18,83 |
31/mrt/2026 |
-12,46 |
-8,20 |
13,35 |
1,59 |
10,89 |
31/dec/2025 |
11/jun/2014 |
- |
77,87 |
- |
1.287,30 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1075907227 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,94 |
10,27 |
6,09 |
3,93 |
6,41 |
5,79 |
31/mrt/2026 |
10,27 |
-1,68 |
10,14 |
-7,74 |
10,04 |
31/mrt/2026 |
-4,94 |
-2,88 |
19,41 |
21,24 |
86,09 |
93,92 |
31/mrt/2026 |
19,47 |
-15,19 |
11,88 |
4,78 |
13,04 |
31/dec/2025 |
25/jun/2014 |
7.768.072,38 |
138,50 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1078072763 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,02 |
-2,98 |
2,25 |
3,25 |
7,80 |
8,11 |
31/mrt/2026 |
-2,98 |
-6,72 |
18,13 |
1,47 |
8,15 |
31/mrt/2026 |
-4,02 |
-5,61 |
6,91 |
17,32 |
111,83 |
150,60 |
31/mrt/2026 |
27,78 |
-22,94 |
20,55 |
8,54 |
-2,61 |
31/dec/2025 |
18/jun/2014 |
1.036.489,02 |
26,65 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1085283973 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
1,08 |
-0,73 |
4,22 |
3,11 |
3,38 |
4,42 |
31/mrt/2026 |
-0,73 |
6,00 |
7,60 |
-0,34 |
3,29 |
31/mrt/2026 |
1,08 |
2,53 |
13,22 |
16,55 |
39,40 |
66,00 |
31/mrt/2026 |
8,62 |
-0,32 |
3,46 |
12,07 |
-4,12 |
31/dec/2025 |
09/jul/2014 |
531.617,16 |
12,13 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1085282496 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-2,23 |
23,39 |
8,22 |
0,76 |
7,73 |
8,51 |
31/mrt/2026 |
23,39 |
5,83 |
-2,95 |
-5,46 |
-13,32 |
31/mrt/2026 |
-2,23 |
1,69 |
26,73 |
3,85 |
110,50 |
160,52 |
31/mrt/2026 |
-3,76 |
-14,46 |
-2,78 |
11,23 |
22,82 |
31/dec/2025 |
09/jul/2014 |
6.349.687,01 |
24,14 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE00BMTRWP46 |
BlackRock Euro Government Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,97 |
1,74 |
2,87 |
-2,24 |
0,13 |
1,20 |
31/mrt/2026 |
1,74 |
2,15 |
4,73 |
-11,71 |
-7,07 |
31/mrt/2026 |
-0,97 |
-0,56 |
8,84 |
-10,70 |
1,30 |
14,94 |
31/mrt/2026 |
-4,07 |
-18,59 |
7,51 |
2,89 |
1,77 |
31/dec/2025 |
18/jul/2014 |
115,46 |
115,46 |
115,46 |
414,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE00BMTRWQ52 |
BlackRock Euro Government Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,82 |
1,61 |
2,35 |
-2,33 |
0,10 |
1,07 |
31/mrt/2026 |
1,61 |
1,17 |
4,32 |
-11,15 |
-6,69 |
31/mrt/2026 |
-0,82 |
-0,43 |
7,23 |
-11,10 |
0,97 |
13,24 |
31/mrt/2026 |
-3,63 |
-18,18 |
7,58 |
1,91 |
1,24 |
31/dec/2025 |
18/jul/2014 |
414.493.083,09 |
113,81 |
113,81 |
414,51 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1090155554 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,33 |
1,98 |
3,33 |
-0,16 |
1,95 |
1,08 |
31/mrt/2026 |
1,98 |
1,46 |
6,62 |
-8,22 |
-2,01 |
31/mrt/2026 |
-2,33 |
-1,73 |
10,32 |
-0,79 |
21,31 |
13,30 |
31/mrt/2026 |
3,15 |
-14,50 |
7,64 |
3,04 |
3,76 |
31/dec/2025 |
06/aug/2014 |
1.346.323,77 |
11,51 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1090156289 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,16 |
2,60 |
4,04 |
0,53 |
2,64 |
1,75 |
31/mrt/2026 |
2,60 |
2,23 |
7,36 |
-7,57 |
-1,34 |
31/mrt/2026 |
-2,16 |
-1,45 |
12,60 |
2,68 |
29,80 |
22,40 |
31/mrt/2026 |
3,86 |
-13,90 |
8,36 |
3,81 |
4,42 |
31/dec/2025 |
06/aug/2014 |
4.121.953,78 |
12,45 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1090193647 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,72 |
0,93 |
1,45 |
0,37 |
0,71 |
0,72 |
31/mrt/2026 |
0,93 |
1,24 |
2,18 |
0,14 |
-2,59 |
31/mrt/2026 |
-1,72 |
-1,38 |
4,41 |
1,84 |
7,30 |
8,75 |
31/mrt/2026 |
-1,40 |
-0,89 |
1,13 |
1,58 |
3,00 |
31/dec/2025 |
06/aug/2014 |
- |
109,49 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1090194454 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,73 |
5,53 |
5,88 |
3,91 |
3,71 |
3,45 |
31/mrt/2026 |
5,53 |
5,59 |
6,52 |
3,73 |
-1,59 |
31/mrt/2026 |
-0,73 |
0,75 |
18,69 |
21,16 |
43,98 |
48,39 |
31/mrt/2026 |
-0,36 |
1,84 |
5,51 |
5,91 |
7,69 |
31/dec/2025 |
06/aug/2014 |
- |
149,91 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1090193134 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,18 |
3,23 |
3,90 |
2,00 |
1,74 |
1,69 |
31/mrt/2026 |
3,23 |
3,92 |
4,54 |
0,89 |
-2,43 |
31/mrt/2026 |
-1,18 |
-0,24 |
12,15 |
10,41 |
18,78 |
21,58 |
31/mrt/2026 |
-1,14 |
-0,54 |
3,24 |
4,26 |
5,40 |
31/dec/2025 |
23/jul/2014 |
- |
111,31 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1093538335 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,72 |
8,50 |
8,24 |
2,14 |
2,20 |
2,12 |
31/mrt/2026 |
8,50 |
3,62 |
12,79 |
-3,47 |
-9,17 |
31/mrt/2026 |
-1,72 |
1,97 |
26,80 |
11,19 |
24,26 |
27,53 |
31/mrt/2026 |
-11,77 |
-7,59 |
14,26 |
2,44 |
11,89 |
31/dec/2025 |
20/aug/2014 |
- |
77,95 |
- |
1.287,30 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1103452089 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
3,11 |
14,21 |
13,94 |
7,80 |
4,97 |
3,99 |
31/mrt/2026 |
14,21 |
9,65 |
18,11 |
1,96 |
-3,45 |
31/mrt/2026 |
3,11 |
4,98 |
47,91 |
45,60 |
62,41 |
57,15 |
31/mrt/2026 |
2,88 |
0,25 |
9,99 |
16,80 |
12,99 |
31/dec/2025 |
10/sep/2014 |
- |
160,93 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
ZAR |
LU1109561420 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,89 |
12,86 |
14,30 |
6,22 |
7,56 |
7,49 |
31/mrt/2026 |
12,86 |
9,83 |
20,47 |
-8,01 |
-1,55 |
31/mrt/2026 |
-0,89 |
3,49 |
49,33 |
35,24 |
107,17 |
129,83 |
31/mrt/2026 |
1,21 |
-14,65 |
18,02 |
10,94 |
17,19 |
31/dec/2025 |
24/sep/2014 |
16.052.706,73 |
82,04 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU1115429885 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-5,51 |
8,54 |
4,56 |
1,80 |
3,20 |
2,80 |
31/mrt/2026 |
8,54 |
-3,14 |
8,74 |
-9,97 |
6,21 |
31/mrt/2026 |
-5,51 |
-3,85 |
14,32 |
9,32 |
37,03 |
37,30 |
31/mrt/2026 |
15,31 |
-17,60 |
10,25 |
3,73 |
11,26 |
31/dec/2025 |
01/okt/2014 |
4.706.277,98 |
14,81 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1116319994 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,23 |
11,23 |
12,35 |
6,51 |
6,32 |
5,59 |
31/mrt/2026 |
11,23 |
8,78 |
17,21 |
-9,11 |
6,33 |
31/mrt/2026 |
-0,23 |
1,24 |
41,81 |
37,05 |
84,56 |
86,78 |
31/mrt/2026 |
16,38 |
-16,46 |
14,29 |
16,18 |
11,94 |
31/dec/2025 |
08/okt/2014 |
93.867.628,58 |
8,35 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1116320901 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,48 |
9,95 |
11,57 |
6,37 |
6,83 |
6,00 |
31/mrt/2026 |
9,95 |
8,01 |
16,95 |
-7,91 |
6,47 |
31/mrt/2026 |
-0,48 |
0,81 |
38,88 |
36,17 |
93,61 |
95,25 |
31/mrt/2026 |
16,77 |
-15,53 |
14,34 |
15,33 |
10,78 |
31/dec/2025 |
08/okt/2014 |
5.728.915.210,18 |
87,40 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1116320737 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,17 |
12,06 |
13,07 |
7,50 |
7,72 |
6,80 |
31/mrt/2026 |
12,06 |
9,10 |
18,23 |
-6,91 |
6,70 |
31/mrt/2026 |
-0,17 |
1,37 |
44,54 |
43,57 |
110,40 |
112,73 |
31/mrt/2026 |
17,01 |
-14,85 |
15,70 |
16,71 |
12,63 |
31/dec/2025 |
08/okt/2014 |
5.863.784.128,21 |
9,58 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1116320141 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,21 |
10,46 |
11,37 |
5,86 |
6,53 |
5,92 |
31/mrt/2026 |
10,46 |
7,64 |
16,17 |
-9,07 |
5,87 |
31/mrt/2026 |
-0,21 |
1,15 |
38,12 |
32,97 |
88,19 |
93,60 |
31/mrt/2026 |
16,12 |
-16,50 |
13,31 |
14,89 |
11,00 |
31/dec/2025 |
08/okt/2014 |
322.002.609,67 |
8,95 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1116320497 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,54 |
9,91 |
11,54 |
6,30 |
6,64 |
5,81 |
31/mrt/2026 |
9,91 |
7,57 |
17,36 |
-7,78 |
6,08 |
31/mrt/2026 |
-0,54 |
0,49 |
38,76 |
35,76 |
90,14 |
91,27 |
31/mrt/2026 |
16,39 |
-15,67 |
14,59 |
15,56 |
10,43 |
31/dec/2025 |
08/okt/2014 |
110.882.122,86 |
9,06 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1116319648 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,68 |
9,49 |
11,73 |
6,29 |
6,92 |
6,39 |
31/mrt/2026 |
9,49 |
8,18 |
17,76 |
-8,41 |
6,19 |
31/mrt/2026 |
-0,68 |
0,34 |
39,48 |
35,66 |
95,16 |
103,60 |
31/mrt/2026 |
16,35 |
-15,97 |
14,82 |
15,94 |
10,39 |
31/dec/2025 |
08/okt/2014 |
68.869.273,16 |
9,03 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU1121327164 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,82 |
0,73 |
1,20 |
-1,27 |
-0,09 |
-0,27 |
31/mrt/2026 |
0,73 |
1,05 |
1,82 |
-5,75 |
-3,97 |
31/mrt/2026 |
-1,82 |
-1,72 |
3,64 |
-6,20 |
-0,92 |
-3,10 |
31/mrt/2026 |
-1,06 |
-8,96 |
2,25 |
0,10 |
3,14 |
31/dec/2025 |
15/okt/2014 |
17.370.604,54 |
9,75 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1121320748 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,36 |
2,87 |
3,46 |
0,37 |
0,94 |
0,67 |
31/mrt/2026 |
2,87 |
3,55 |
3,96 |
-4,68 |
-3,51 |
31/mrt/2026 |
-1,36 |
-0,66 |
10,75 |
1,86 |
9,83 |
7,91 |
31/mrt/2026 |
-0,56 |
-8,17 |
4,28 |
2,44 |
5,52 |
31/dec/2025 |
29/okt/2014 |
3.058.193,78 |
108,80 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1117534401 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
5,29 |
5,53 |
3,41 |
2,87 |
2,75 |
31/mrt/2026 |
5,29 |
5,42 |
5,90 |
2,35 |
-1,70 |
31/mrt/2026 |
-0,77 |
0,69 |
17,54 |
18,25 |
32,74 |
36,44 |
31/mrt/2026 |
-0,53 |
0,75 |
4,70 |
5,63 |
7,51 |
31/dec/2025 |
15/okt/2014 |
- |
137,85 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1117534666 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
5,28 |
5,54 |
3,42 |
2,86 |
2,74 |
31/mrt/2026 |
5,28 |
5,46 |
5,90 |
2,36 |
-1,66 |
31/mrt/2026 |
-0,77 |
0,70 |
17,57 |
18,34 |
32,61 |
36,38 |
31/mrt/2026 |
-0,50 |
0,75 |
4,70 |
5,66 |
7,52 |
31/dec/2025 |
15/okt/2014 |
- |
122,38 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1125545993 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
0,43 |
-0,68 |
5,90 |
3,19 |
4,79 |
4,73 |
31/mrt/2026 |
-0,68 |
6,72 |
12,06 |
-4,03 |
2,64 |
31/mrt/2026 |
0,43 |
1,78 |
18,78 |
17,01 |
59,60 |
69,61 |
31/mrt/2026 |
10,57 |
-7,55 |
8,02 |
15,46 |
-4,36 |
31/dec/2025 |
22/okt/2014 |
4.577.199,69 |
10,06 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1121335696 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,14 |
23,05 |
7,86 |
-2,68 |
4,48 |
4,18 |
31/mrt/2026 |
23,05 |
5,79 |
-3,62 |
-14,11 |
-18,98 |
31/mrt/2026 |
-4,14 |
-0,68 |
25,47 |
-12,69 |
54,95 |
59,60 |
31/mrt/2026 |
-6,46 |
-25,98 |
-0,65 |
6,92 |
28,27 |
31/dec/2025 |
29/okt/2014 |
9.257.087,88 |
18,65 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1122056838 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,49 |
11,01 |
11,22 |
5,66 |
3,19 |
2,23 |
31/mrt/2026 |
11,01 |
7,10 |
15,72 |
0,34 |
-4,61 |
31/mrt/2026 |
2,49 |
3,52 |
37,58 |
31,69 |
36,91 |
28,67 |
31/mrt/2026 |
1,96 |
-1,32 |
7,72 |
14,45 |
9,69 |
31/dec/2025 |
29/okt/2014 |
- |
1.314,78 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1133072774 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,76 |
10,64 |
4,87 |
1,14 |
0,92 |
0,14 |
31/mrt/2026 |
10,64 |
-0,69 |
4,96 |
0,71 |
-8,88 |
31/mrt/2026 |
-2,76 |
0,44 |
15,33 |
5,83 |
9,60 |
1,55 |
31/mrt/2026 |
-8,64 |
-10,63 |
12,98 |
-7,35 |
18,57 |
31/dec/2025 |
19/nov/2014 |
1.680.839,79 |
4,92 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1133085917 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,70 |
5,80 |
5,29 |
0,69 |
2,08 |
1,55 |
31/mrt/2026 |
5,80 |
2,97 |
7,14 |
-9,89 |
-1,57 |
31/mrt/2026 |
-1,70 |
-0,58 |
16,71 |
3,52 |
22,81 |
19,04 |
31/mrt/2026 |
4,90 |
-15,63 |
7,12 |
4,39 |
8,15 |
31/dec/2025 |
19/nov/2014 |
100.941.940,73 |
6,33 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1142331880 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
19,90 |
34,38 |
10,91 |
14,00 |
10,77 |
7,84 |
31/mrt/2026 |
34,38 |
0,00 |
1,53 |
-4,78 |
48,20 |
31/mrt/2026 |
19,90 |
28,61 |
36,44 |
92,53 |
178,08 |
135,38 |
31/mrt/2026 |
39,75 |
23,90 |
-5,35 |
1,58 |
14,02 |
31/dec/2025 |
26/nov/2014 |
6.588.713,20 |
9,59 |
- |
421,31 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1149717156 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,10 |
2,98 |
3,93 |
-2,09 |
0,72 |
1,09 |
31/mrt/2026 |
2,98 |
4,81 |
4,02 |
-7,08 |
-13,76 |
31/mrt/2026 |
-1,10 |
-0,95 |
12,27 |
-10,04 |
7,49 |
13,09 |
31/mrt/2026 |
-7,49 |
-16,50 |
3,99 |
4,50 |
6,57 |
31/dec/2025 |
10/dec/2014 |
175.128.579,24 |
6,28 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1149717313 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
2,42 |
4,00 |
-0,03 |
1,95 |
2,17 |
31/mrt/2026 |
2,42 |
4,59 |
5,01 |
-6,17 |
-5,38 |
31/mrt/2026 |
-1,28 |
-0,96 |
12,48 |
-0,13 |
21,27 |
27,53 |
31/mrt/2026 |
-1,97 |
-15,44 |
8,57 |
2,99 |
5,38 |
31/dec/2025 |
10/dec/2014 |
1.300.758,01 |
8,43 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1153584641 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,70 |
9,78 |
11,76 |
9,38 |
8,32 |
8,17 |
31/mrt/2026 |
9,78 |
10,06 |
15,54 |
3,58 |
8,26 |
31/mrt/2026 |
-1,70 |
4,26 |
39,61 |
56,55 |
122,27 |
142,50 |
31/mrt/2026 |
21,05 |
-9,37 |
16,58 |
9,77 |
19,29 |
31/dec/2025 |
17/dec/2014 |
53.121.537,82 |
25,13 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1153584997 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
5,26 |
5,67 |
2,22 |
2,97 |
2,51 |
31/mrt/2026 |
5,26 |
5,63 |
6,14 |
-2,57 |
-2,94 |
31/mrt/2026 |
-0,77 |
0,49 |
18,01 |
11,60 |
34,04 |
32,31 |
31/mrt/2026 |
-0,03 |
-6,56 |
6,72 |
4,39 |
7,87 |
31/dec/2025 |
17/dec/2014 |
1.663.617,51 |
10,44 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1153525040 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
3,12 |
14,44 |
14,24 |
8,17 |
5,77 |
4,54 |
31/mrt/2026 |
14,44 |
9,83 |
18,61 |
2,70 |
-3,26 |
31/mrt/2026 |
3,12 |
5,03 |
49,08 |
48,12 |
75,20 |
65,02 |
31/mrt/2026 |
3,27 |
0,72 |
10,68 |
17,11 |
13,14 |
31/dec/2025 |
17/dec/2014 |
- |
168,99 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1153585531 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-1,61 |
17,40 |
16,79 |
13,85 |
10,56 |
10,04 |
31/mrt/2026 |
17,40 |
14,51 |
18,50 |
8,82 |
10,32 |
31/mrt/2026 |
-1,61 |
6,86 |
59,30 |
91,25 |
172,88 |
192,80 |
31/mrt/2026 |
23,53 |
-0,92 |
17,44 |
14,65 |
27,62 |
31/dec/2025 |
07/jan/2015 |
23.534.022,67 |
30,42 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1149717743 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,73 |
8,66 |
9,91 |
5,84 |
7,70 |
7,30 |
31/mrt/2026 |
8,66 |
6,33 |
14,93 |
-8,40 |
9,18 |
31/mrt/2026 |
-0,73 |
0,11 |
32,78 |
32,80 |
109,91 |
120,57 |
31/mrt/2026 |
19,70 |
-15,10 |
12,36 |
13,38 |
9,40 |
31/dec/2025 |
07/jan/2015 |
2.278.675.307,56 |
95,57 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1162516477 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
0,46 |
1,52 |
5,49 |
3,21 |
4,20 |
3,93 |
31/mrt/2026 |
1,52 |
4,70 |
10,46 |
-5,28 |
5,33 |
31/mrt/2026 |
0,46 |
2,26 |
17,40 |
17,14 |
50,93 |
54,11 |
31/mrt/2026 |
14,42 |
-7,79 |
6,07 |
13,25 |
-2,11 |
31/dec/2025 |
07/jan/2015 |
48.429.377,00 |
15,65 |
- |
4.182,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1162516717 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,52 |
11,33 |
11,46 |
5,62 |
3,15 |
2,18 |
31/mrt/2026 |
11,33 |
7,44 |
15,76 |
-0,35 |
-4,75 |
31/mrt/2026 |
2,52 |
3,65 |
38,47 |
31,43 |
36,33 |
27,36 |
31/mrt/2026 |
1,73 |
-1,91 |
7,76 |
14,53 |
10,15 |
31/dec/2025 |
07/jan/2015 |
- |
130,16 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1153585457 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-10,34 |
0,71 |
3,73 |
1,03 |
7,99 |
6,94 |
31/mrt/2026 |
0,71 |
-2,90 |
14,14 |
-11,16 |
6,14 |
31/mrt/2026 |
-10,34 |
-9,11 |
11,61 |
5,25 |
115,63 |
112,40 |
31/mrt/2026 |
19,40 |
-19,93 |
11,15 |
9,44 |
5,38 |
31/dec/2025 |
07/jan/2015 |
8.320,08 |
22,81 |
- |
586,05 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1153585028 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,68 |
4,02 |
6,14 |
2,83 |
9,39 |
8,14 |
31/mrt/2026 |
4,02 |
-1,07 |
16,19 |
-9,65 |
6,40 |
31/mrt/2026 |
-9,68 |
-7,71 |
19,57 |
14,95 |
145,36 |
140,70 |
31/mrt/2026 |
19,60 |
-18,89 |
13,32 |
11,43 |
8,51 |
31/dec/2025 |
07/jan/2015 |
420.771,65 |
25,92 |
- |
586,05 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1153585291 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-8,52 |
1,44 |
3,76 |
3,64 |
10,27 |
9,39 |
31/mrt/2026 |
1,44 |
-3,33 |
13,91 |
-4,22 |
11,74 |
31/mrt/2026 |
-8,52 |
-6,42 |
11,71 |
19,56 |
165,92 |
173,90 |
31/mrt/2026 |
20,91 |
-9,23 |
7,45 |
13,29 |
1,22 |
31/dec/2025 |
07/jan/2015 |
21.667.677,85 |
28,92 |
- |
586,05 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1153585374 |
BGF Global Long-Horizon Equity Fund |
BlackRock (Luxembourg) S.A. |
-8,33 |
2,22 |
4,55 |
4,42 |
11,11 |
10,21 |
31/mrt/2026 |
2,22 |
-2,58 |
14,77 |
-3,54 |
12,61 |
31/mrt/2026 |
-8,33 |
-6,07 |
14,29 |
24,14 |
186,80 |
197,93 |
31/mrt/2026 |
21,78 |
-8,54 |
8,26 |
14,12 |
2,00 |
31/dec/2025 |
07/jan/2015 |
857.546,84 |
30,59 |
- |
586,05 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1165522480 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,85 |
4,69 |
4,66 |
1,31 |
2,39 |
2,18 |
31/mrt/2026 |
4,69 |
4,74 |
4,56 |
-3,71 |
-3,31 |
31/mrt/2026 |
-0,85 |
0,34 |
14,66 |
6,75 |
26,70 |
27,38 |
31/mrt/2026 |
-0,24 |
-7,40 |
4,98 |
3,30 |
7,25 |
31/dec/2025 |
14/jan/2015 |
3.305.495,49 |
8,67 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
SEK |
LU1162516634 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,41 |
1,61 |
2,50 |
-1,37 |
0,23 |
0,11 |
31/mrt/2026 |
1,61 |
2,82 |
3,07 |
-7,72 |
-6,07 |
31/mrt/2026 |
-1,41 |
-1,19 |
7,68 |
-6,67 |
2,32 |
1,23 |
31/mrt/2026 |
-2,59 |
-16,63 |
6,47 |
1,31 |
4,21 |
31/dec/2025 |
14/jan/2015 |
174.631,21 |
101,98 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| IEBB |
EUR |
IE00BSKRK281 |
iShares € Corp Bond BBB-BB UCITS ETF |
iShares III plc |
-1,00 |
2,21 |
4,72 |
0,30 |
1,51 |
1,39 |
31/mrt/2026 |
2,21 |
4,74 |
7,27 |
-6,62 |
-5,36 |
31/mrt/2026 |
-1,00 |
-0,56 |
14,84 |
1,50 |
16,19 |
16,70 |
31/mrt/2026 |
-0,34 |
-13,25 |
8,59 |
5,19 |
3,49 |
31/dec/2025 |
03/feb/2015 |
442.924.289,67 |
4,80 |
- |
442,92 |
01/mei/2026 |
Distributie |
| - |
USD |
LU1185942403 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-4,88 |
8,20 |
10,85 |
9,45 |
10,01 |
9,16 |
31/mrt/2026 |
8,20 |
4,25 |
20,74 |
7,39 |
7,40 |
31/mrt/2026 |
-4,88 |
-2,39 |
36,19 |
57,08 |
159,59 |
165,30 |
31/mrt/2026 |
29,39 |
-15,91 |
18,86 |
15,77 |
17,98 |
31/dec/2025 |
11/feb/2015 |
11.755.187,90 |
28,21 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1165523371 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,38 |
2,39 |
2,82 |
0,81 |
3,06 |
2,92 |
31/mrt/2026 |
2,39 |
2,84 |
3,23 |
-3,65 |
-0,61 |
31/mrt/2026 |
-1,38 |
-0,76 |
8,70 |
4,09 |
35,15 |
37,70 |
31/mrt/2026 |
2,43 |
-6,44 |
3,68 |
1,41 |
5,11 |
31/dec/2025 |
25/feb/2015 |
27.927,77 |
90,82 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1181257202 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,83 |
5,00 |
5,27 |
1,72 |
2,05 |
1,63 |
31/mrt/2026 |
5,00 |
5,36 |
5,46 |
-3,57 |
-3,18 |
31/mrt/2026 |
-0,83 |
0,42 |
16,67 |
8,92 |
22,52 |
19,70 |
31/mrt/2026 |
-0,27 |
-7,19 |
5,69 |
4,09 |
7,67 |
31/dec/2025 |
25/feb/2015 |
4.742.512,84 |
12,09 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1185942585 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,54 |
10,61 |
12,61 |
10,21 |
9,13 |
7,55 |
31/mrt/2026 |
10,61 |
10,89 |
16,43 |
4,32 |
9,14 |
31/mrt/2026 |
-1,54 |
4,62 |
42,80 |
62,58 |
139,53 |
124,20 |
31/mrt/2026 |
22,00 |
-8,70 |
17,49 |
10,57 |
20,22 |
31/dec/2025 |
25/feb/2015 |
4.459.296,84 |
23,25 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1193909402 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,74 |
5,51 |
5,88 |
3,91 |
3,72 |
3,43 |
31/mrt/2026 |
5,51 |
5,61 |
6,52 |
3,73 |
-1,61 |
31/mrt/2026 |
-0,74 |
0,74 |
18,68 |
21,13 |
44,10 |
45,34 |
31/mrt/2026 |
-0,37 |
1,83 |
5,51 |
5,92 |
7,68 |
31/dec/2025 |
25/feb/2015 |
- |
131,17 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1196525536 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,57 |
7,53 |
8,13 |
6,41 |
11,02 |
9,59 |
31/mrt/2026 |
7,53 |
-3,03 |
21,23 |
2,25 |
5,54 |
31/mrt/2026 |
-4,57 |
-0,93 |
26,41 |
36,42 |
184,52 |
175,70 |
31/mrt/2026 |
27,00 |
-21,87 |
21,85 |
9,31 |
12,85 |
31/dec/2025 |
04/mrt/2015 |
189.447.834,27 |
29,25 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU0842063264 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,21 |
7,31 |
6,77 |
0,44 |
3,19 |
3,05 |
31/mrt/2026 |
7,31 |
2,85 |
10,30 |
-27,15 |
15,24 |
31/mrt/2026 |
-0,21 |
-0,36 |
21,73 |
2,20 |
36,90 |
39,50 |
31/mrt/2026 |
27,69 |
-29,27 |
12,63 |
-0,15 |
8,29 |
31/dec/2025 |
04/mrt/2015 |
18.420.644,70 |
15,10 |
- |
199,52 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1200839964 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,55 |
10,59 |
12,61 |
10,20 |
9,14 |
7,22 |
31/mrt/2026 |
10,59 |
10,91 |
16,44 |
4,26 |
9,15 |
31/mrt/2026 |
-1,55 |
4,66 |
42,82 |
62,51 |
139,77 |
115,58 |
31/mrt/2026 |
22,03 |
-8,73 |
17,49 |
10,61 |
20,19 |
31/dec/2025 |
25/mrt/2015 |
12.302.411,66 |
14,37 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1200840038 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,86 |
4,86 |
5,11 |
3,00 |
2,45 |
2,22 |
31/mrt/2026 |
4,86 |
5,00 |
5,47 |
1,96 |
-2,09 |
31/mrt/2026 |
-0,86 |
0,50 |
16,12 |
15,92 |
27,42 |
27,47 |
31/mrt/2026 |
-0,93 |
0,37 |
4,28 |
5,20 |
7,07 |
31/dec/2025 |
11/mrt/2015 |
- |
128,74 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1200839535 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,98 |
3,59 |
4,06 |
-2,66 |
-0,39 |
-0,19 |
31/mrt/2026 |
3,59 |
4,77 |
3,83 |
-9,21 |
-14,57 |
31/mrt/2026 |
-0,98 |
-0,54 |
12,69 |
-12,59 |
-3,80 |
-2,12 |
31/mrt/2026 |
-8,33 |
-18,26 |
3,41 |
4,63 |
6,93 |
31/dec/2025 |
11/mrt/2015 |
26.354.939,26 |
6,20 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1200839618 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,48 |
5,59 |
5,76 |
-1,21 |
0,79 |
0,94 |
31/mrt/2026 |
5,59 |
6,61 |
5,08 |
-7,63 |
-13,90 |
31/mrt/2026 |
-0,48 |
0,43 |
18,30 |
-5,91 |
8,23 |
10,90 |
31/mrt/2026 |
-7,66 |
-16,96 |
4,78 |
6,07 |
9,03 |
31/dec/2025 |
11/mrt/2015 |
41.266.209,47 |
5,01 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1200839709 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,91 |
4,31 |
5,38 |
-1,23 |
1,44 |
1,77 |
31/mrt/2026 |
4,31 |
6,36 |
5,48 |
-7,06 |
-13,56 |
31/mrt/2026 |
-0,91 |
-0,35 |
17,02 |
-5,99 |
15,34 |
21,43 |
31/mrt/2026 |
-7,52 |
-16,47 |
5,47 |
6,09 |
7,95 |
31/dec/2025 |
11/mrt/2015 |
26.302.125,85 |
8,46 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1200839881 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,91 |
4,00 |
4,91 |
-1,50 |
1,02 |
1,14 |
31/mrt/2026 |
4,00 |
5,52 |
5,20 |
-6,79 |
-13,84 |
31/mrt/2026 |
-0,91 |
-0,41 |
15,45 |
-7,29 |
10,67 |
13,29 |
31/mrt/2026 |
-7,48 |
-16,44 |
5,06 |
5,42 |
7,47 |
31/dec/2025 |
11/mrt/2015 |
33.871.189,17 |
7,78 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1202926504 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,97 |
5,65 |
6,90 |
4,97 |
9,63 |
8,12 |
31/mrt/2026 |
5,65 |
-3,60 |
19,93 |
-0,62 |
4,97 |
31/mrt/2026 |
-4,97 |
-1,74 |
22,15 |
27,44 |
150,82 |
136,55 |
31/mrt/2026 |
26,77 |
-23,80 |
19,94 |
8,52 |
11,33 |
31/dec/2025 |
18/mrt/2015 |
134.615.604,31 |
48,97 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1202926330 |
BGF Euro Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,46 |
4,04 |
5,09 |
2,62 |
2,48 |
2,31 |
31/mrt/2026 |
4,04 |
5,82 |
5,42 |
0,09 |
-2,04 |
31/mrt/2026 |
-0,46 |
0,70 |
16,06 |
13,80 |
27,71 |
28,60 |
31/mrt/2026 |
-0,35 |
-3,37 |
6,80 |
5,08 |
5,81 |
31/dec/2025 |
18/mrt/2015 |
2.158.224,59 |
12,95 |
- |
1.992,57 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1216661543 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-5,08 |
-4,20 |
1,89 |
-7,54 |
3,19 |
-0,32 |
31/mrt/2026 |
-4,20 |
30,41 |
-15,32 |
-11,53 |
-27,81 |
31/mrt/2026 |
-5,08 |
-12,00 |
5,78 |
-32,44 |
36,95 |
-3,42 |
31/mrt/2026 |
-8,03 |
-27,23 |
-15,19 |
23,37 |
9,22 |
31/dec/2025 |
15/apr/2015 |
4.456.102,26 |
17,79 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1210724834 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,51 |
1,53 |
2,19 |
3,38 |
8,03 |
5,73 |
31/mrt/2026 |
1,53 |
-8,05 |
14,32 |
-0,55 |
11,27 |
31/mrt/2026 |
-5,51 |
-4,48 |
6,72 |
18,10 |
116,45 |
84,18 |
31/mrt/2026 |
33,22 |
-22,62 |
16,94 |
5,49 |
4,01 |
31/dec/2025 |
15/apr/2015 |
496.519,48 |
194,58 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1220226846 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,94 |
10,27 |
6,09 |
3,93 |
6,41 |
6,15 |
31/mrt/2026 |
10,27 |
-1,68 |
10,14 |
-7,74 |
10,05 |
31/mrt/2026 |
-4,94 |
-2,89 |
19,41 |
21,25 |
86,08 |
92,05 |
31/mrt/2026 |
19,47 |
-15,19 |
11,88 |
4,78 |
13,04 |
31/dec/2025 |
22/apr/2015 |
3.265.297,05 |
143,75 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1219733679 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
1,27 |
-0,62 |
3,46 |
-0,46 |
1,79 |
0,99 |
31/mrt/2026 |
-0,62 |
1,45 |
9,84 |
-26,68 |
20,35 |
31/mrt/2026 |
1,27 |
0,81 |
10,74 |
-2,28 |
19,40 |
11,40 |
31/mrt/2026 |
36,44 |
-25,92 |
7,48 |
5,15 |
-5,42 |
31/dec/2025 |
22/apr/2015 |
7.791.084,54 |
11,88 |
- |
199,52 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU1220229436 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,24 |
7,68 |
10,28 |
8,23 |
7,30 |
5,59 |
31/mrt/2026 |
7,68 |
8,74 |
14,56 |
2,72 |
7,79 |
31/mrt/2026 |
-2,24 |
3,29 |
34,13 |
48,51 |
102,30 |
81,15 |
31/mrt/2026 |
20,48 |
-10,08 |
15,59 |
8,66 |
17,19 |
31/dec/2025 |
29/apr/2015 |
11.751.071,54 |
10,94 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1220229196 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,48 |
6,82 |
10,38 |
8,21 |
7,62 |
6,16 |
31/mrt/2026 |
6,82 |
9,46 |
15,02 |
2,07 |
8,10 |
31/mrt/2026 |
-2,48 |
3,09 |
34,48 |
48,39 |
108,37 |
91,98 |
31/mrt/2026 |
20,67 |
-10,61 |
16,05 |
9,23 |
16,84 |
31/dec/2025 |
29/apr/2015 |
4.898.189,72 |
10,88 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1220227653 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,44 |
1,18 |
1,97 |
-0,85 |
2,40 |
2,49 |
31/mrt/2026 |
1,18 |
2,29 |
2,44 |
-6,66 |
-3,17 |
31/mrt/2026 |
-1,44 |
-1,27 |
6,02 |
-4,18 |
26,80 |
30,85 |
31/mrt/2026 |
0,39 |
-14,95 |
5,92 |
0,33 |
3,99 |
31/dec/2025 |
29/apr/2015 |
597.440.003,01 |
88,55 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1222731728 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,81 |
4,25 |
4,81 |
0,44 |
1,77 |
1,63 |
31/mrt/2026 |
4,25 |
5,06 |
5,11 |
-6,35 |
-5,19 |
31/mrt/2026 |
-0,81 |
0,09 |
15,12 |
2,22 |
19,22 |
19,35 |
31/mrt/2026 |
-1,70 |
-15,48 |
8,51 |
3,28 |
7,02 |
31/dec/2025 |
29/apr/2015 |
311.299.387,90 |
11,15 |
- |
1.467,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1238068834 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
0,42 |
1,45 |
5,48 |
3,21 |
4,19 |
2,98 |
31/mrt/2026 |
1,45 |
4,65 |
10,53 |
-5,31 |
5,39 |
31/mrt/2026 |
0,42 |
2,21 |
17,35 |
17,09 |
50,73 |
37,53 |
31/mrt/2026 |
14,44 |
-7,84 |
6,08 |
13,29 |
-2,16 |
31/dec/2025 |
27/mei/2015 |
616.219.526,75 |
7,69 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1238068321 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
3,42 |
7,01 |
7,60 |
7,83 |
4,73 |
4,56 |
31/mrt/2026 |
7,01 |
4,73 |
11,14 |
7,88 |
8,51 |
31/mrt/2026 |
3,42 |
6,11 |
24,56 |
45,81 |
58,80 |
62,23 |
31/mrt/2026 |
9,21 |
5,00 |
8,29 |
8,63 |
6,03 |
31/dec/2025 |
27/mei/2015 |
- |
165,96 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1238068594 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,43 |
2,46 |
3,21 |
4,53 |
1,92 |
1,81 |
31/mrt/2026 |
2,46 |
0,48 |
6,79 |
5,43 |
7,68 |
31/mrt/2026 |
2,43 |
3,86 |
9,95 |
24,82 |
21,00 |
21,45 |
31/mrt/2026 |
8,18 |
3,52 |
4,02 |
4,20 |
1,54 |
31/dec/2025 |
03/jun/2015 |
- |
123,86 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1244156755 |
BSF European Opportunities Extension Fund |
BlackRock (Luxembourg) S.A. |
-5,06 |
3,44 |
6,03 |
6,30 |
9,49 |
9,27 |
31/mrt/2026 |
3,44 |
-4,33 |
20,44 |
-3,77 |
18,34 |
31/mrt/2026 |
-5,06 |
-1,12 |
19,19 |
35,74 |
147,59 |
160,61 |
31/mrt/2026 |
44,79 |
-24,18 |
21,60 |
6,99 |
5,88 |
31/dec/2025 |
10/jun/2015 |
- |
242,12 |
- |
345,82 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1241525267 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,36 |
6,42 |
8,61 |
7,72 |
8,22 |
7,16 |
31/mrt/2026 |
6,42 |
7,29 |
12,21 |
2,11 |
10,84 |
31/mrt/2026 |
-2,36 |
2,88 |
28,12 |
45,01 |
120,24 |
110,92 |
31/mrt/2026 |
23,82 |
-9,50 |
13,23 |
6,65 |
15,94 |
31/dec/2025 |
17/jun/2015 |
11.609.429,66 |
116,94 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1250980452 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,92 |
3,62 |
4,08 |
-2,63 |
-0,38 |
-0,24 |
31/mrt/2026 |
3,62 |
4,91 |
3,70 |
-9,24 |
-14,47 |
31/mrt/2026 |
-0,92 |
-0,51 |
12,73 |
-12,49 |
-3,75 |
-2,60 |
31/mrt/2026 |
-8,29 |
-18,27 |
3,29 |
4,67 |
6,96 |
31/dec/2025 |
24/jun/2015 |
5.967.516,40 |
9,81 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1250979793 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,26 |
6,24 |
6,26 |
-0,73 |
1,29 |
1,41 |
31/mrt/2026 |
6,24 |
6,87 |
5,68 |
-7,15 |
-13,45 |
31/mrt/2026 |
-0,26 |
0,66 |
19,99 |
-3,58 |
13,70 |
16,26 |
31/mrt/2026 |
-7,22 |
-16,53 |
5,40 |
6,62 |
9,42 |
31/dec/2025 |
24/jun/2015 |
2.424.811,41 |
7,72 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1244155948 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-7,25 |
-0,92 |
0,62 |
-9,72 |
2,78 |
0,35 |
31/mrt/2026 |
-0,92 |
26,45 |
-18,69 |
-15,63 |
-30,24 |
31/mrt/2026 |
-7,25 |
-14,61 |
1,86 |
-40,04 |
31,57 |
3,88 |
31/mrt/2026 |
-13,16 |
-32,28 |
-15,26 |
11,89 |
19,63 |
31/dec/2025 |
24/jun/2015 |
174.543.408,12 |
125,56 |
- |
1.113,27 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1244156169 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,85 |
-6,70 |
-1,42 |
0,80 |
6,81 |
5,68 |
31/mrt/2026 |
-6,70 |
-9,93 |
14,00 |
-1,19 |
9,96 |
31/mrt/2026 |
-4,85 |
-7,20 |
-4,20 |
4,08 |
93,19 |
81,26 |
31/mrt/2026 |
29,77 |
-23,89 |
16,23 |
4,66 |
-6,24 |
31/dec/2025 |
24/jun/2015 |
360.535,31 |
515,82 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1246651910 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
3,46 |
6,72 |
7,21 |
7,47 |
4,01 |
4,07 |
31/mrt/2026 |
6,72 |
4,66 |
10,32 |
7,26 |
8,46 |
31/mrt/2026 |
3,46 |
6,17 |
23,22 |
43,35 |
48,13 |
53,60 |
31/mrt/2026 |
9,22 |
4,62 |
7,39 |
8,35 |
5,71 |
31/dec/2025 |
01/jul/2015 |
- |
157,09 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1254117549 |
BGF Sustainable Global Dynamic Equity Fund |
BlackRock (Luxembourg) S.A. |
-9,90 |
11,82 |
8,41 |
3,51 |
9,12 |
7,63 |
31/mrt/2026 |
11,82 |
-3,47 |
18,02 |
-11,52 |
5,43 |
31/mrt/2026 |
-9,90 |
-5,81 |
27,40 |
18,84 |
139,39 |
119,81 |
31/mrt/2026 |
17,36 |
-20,04 |
13,58 |
12,33 |
15,70 |
31/dec/2025 |
15/jul/2015 |
75.612,65 |
243,91 |
- |
458,43 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1254117382 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,78 |
0,05 |
1,45 |
2,19 |
8,31 |
6,14 |
31/mrt/2026 |
0,05 |
-4,80 |
9,62 |
-5,29 |
12,68 |
31/mrt/2026 |
-5,78 |
4,17 |
4,41 |
11,42 |
122,21 |
89,21 |
31/mrt/2026 |
16,94 |
-5,29 |
-0,96 |
-1,05 |
9,98 |
31/dec/2025 |
15/jul/2015 |
612.435.052,63 |
186,21 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1258857645 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,05 |
2,39 |
7,06 |
2,24 |
3,63 |
3,11 |
31/mrt/2026 |
2,39 |
7,42 |
11,55 |
-7,26 |
-1,83 |
31/mrt/2026 |
-2,05 |
-1,78 |
22,70 |
11,71 |
42,80 |
38,72 |
31/mrt/2026 |
4,29 |
-13,17 |
11,72 |
8,75 |
5,31 |
31/dec/2025 |
23/jul/2015 |
234.288.849,52 |
141,61 |
- |
948,98 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1258857728 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,54 |
0,32 |
4,80 |
0,73 |
2,71 |
2,23 |
31/mrt/2026 |
0,32 |
5,08 |
9,18 |
-7,95 |
-2,13 |
31/mrt/2026 |
-2,54 |
-2,76 |
15,09 |
3,69 |
30,65 |
26,60 |
31/mrt/2026 |
3,74 |
-13,37 |
9,43 |
6,33 |
3,18 |
31/dec/2025 |
23/jul/2015 |
3.459.487,90 |
12,90 |
- |
948,98 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1191877379 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,95 |
2,63 |
7,30 |
2,35 |
3,74 |
3,25 |
31/mrt/2026 |
2,63 |
7,78 |
11,68 |
-7,32 |
-1,92 |
31/mrt/2026 |
-1,95 |
-1,61 |
23,53 |
12,29 |
44,31 |
40,70 |
31/mrt/2026 |
3,97 |
-13,01 |
11,64 |
8,98 |
5,59 |
31/dec/2025 |
23/jul/2015 |
164.662.217,17 |
14,37 |
- |
948,98 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1191877965 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,85 |
3,05 |
7,80 |
2,80 |
4,27 |
3,78 |
31/mrt/2026 |
3,05 |
8,33 |
12,22 |
-6,90 |
-1,54 |
31/mrt/2026 |
-1,85 |
-1,39 |
25,27 |
14,83 |
51,89 |
48,70 |
31/mrt/2026 |
4,39 |
-12,62 |
12,12 |
9,51 |
6,09 |
31/dec/2025 |
23/jul/2015 |
100.600.933,73 |
15,19 |
- |
948,98 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1258857561 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,93 |
3,03 |
7,78 |
2,84 |
4,28 |
3,79 |
31/mrt/2026 |
3,03 |
8,31 |
12,19 |
-6,82 |
-1,41 |
31/mrt/2026 |
-1,93 |
-1,43 |
25,19 |
15,01 |
52,01 |
48,83 |
31/mrt/2026 |
4,46 |
-12,59 |
12,22 |
9,49 |
6,14 |
31/dec/2025 |
23/jul/2015 |
39.900.787,82 |
9,85 |
- |
948,98 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1258858023 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,39 |
5,04 |
9,43 |
4,17 |
5,29 |
4,76 |
31/mrt/2026 |
5,04 |
9,84 |
13,57 |
-5,62 |
-0,81 |
31/mrt/2026 |
-1,39 |
-0,47 |
31,03 |
22,67 |
67,52 |
64,38 |
31/mrt/2026 |
5,07 |
-11,62 |
13,79 |
10,89 |
8,04 |
31/dec/2025 |
23/jul/2015 |
1.498.294,96 |
10,88 |
- |
948,98 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1254583351 |
BSF Systematic World Equity Fund |
BlackRock (Luxembourg) S.A. |
-4,76 |
19,70 |
16,90 |
10,07 |
11,86 |
10,83 |
31/mrt/2026 |
19,70 |
5,31 |
26,72 |
-8,05 |
10,01 |
31/mrt/2026 |
-4,76 |
-0,60 |
59,74 |
61,58 |
206,59 |
197,64 |
31/mrt/2026 |
23,15 |
-19,70 |
25,84 |
19,14 |
20,95 |
31/dec/2025 |
20/aug/2015 |
- |
325,24 |
- |
2.837,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1254583435 |
BSF Systematic World Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,04 |
12,64 |
15,14 |
10,88 |
12,15 |
10,91 |
31/mrt/2026 |
12,64 |
5,62 |
28,31 |
-6,06 |
16,86 |
31/mrt/2026 |
-3,04 |
1,32 |
52,64 |
67,57 |
214,79 |
199,99 |
31/mrt/2026 |
33,66 |
-14,49 |
21,98 |
27,59 |
7,42 |
31/dec/2025 |
20/aug/2015 |
- |
323,44 |
- |
2.837,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1251620883 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,39 |
9,13 |
5,15 |
2,90 |
3,88 |
3,92 |
31/mrt/2026 |
9,13 |
1,46 |
4,99 |
-0,80 |
0,05 |
31/mrt/2026 |
0,39 |
2,67 |
16,25 |
15,39 |
46,29 |
50,56 |
31/mrt/2026 |
1,46 |
-2,78 |
6,82 |
0,87 |
9,76 |
31/dec/2025 |
05/aug/2015 |
- |
152,52 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1258025839 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,67 |
10,08 |
6,15 |
3,92 |
4,96 |
5,02 |
31/mrt/2026 |
10,08 |
2,49 |
6,03 |
0,20 |
1,12 |
31/mrt/2026 |
0,67 |
3,05 |
19,62 |
21,21 |
62,34 |
68,43 |
31/mrt/2026 |
2,58 |
-1,81 |
7,89 |
1,89 |
10,69 |
31/dec/2025 |
05/aug/2015 |
- |
170,52 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1251621188 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,52 |
9,69 |
5,68 |
3,42 |
4,34 |
4,37 |
31/mrt/2026 |
9,69 |
1,97 |
5,51 |
-0,30 |
0,55 |
31/mrt/2026 |
0,52 |
2,93 |
18,01 |
18,30 |
52,90 |
57,70 |
31/mrt/2026 |
1,94 |
-2,30 |
7,36 |
1,38 |
10,32 |
31/dec/2025 |
05/aug/2015 |
- |
159,82 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1266592374 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,71 |
-0,77 |
0,32 |
-3,61 |
-1,04 |
-0,73 |
31/mrt/2026 |
-0,77 |
-0,95 |
2,73 |
-10,96 |
-7,48 |
31/mrt/2026 |
-1,71 |
-1,80 |
0,98 |
-16,81 |
-9,93 |
-7,51 |
31/mrt/2026 |
-3,86 |
-17,51 |
5,36 |
-0,38 |
-0,57 |
31/dec/2025 |
29/jul/2015 |
757.725,05 |
10,37 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1266592614 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,82 |
3,91 |
4,66 |
5,24 |
1,96 |
1,74 |
31/mrt/2026 |
3,91 |
1,84 |
8,33 |
5,31 |
6,96 |
31/mrt/2026 |
2,82 |
4,63 |
14,63 |
29,12 |
21,46 |
20,20 |
31/mrt/2026 |
7,44 |
2,81 |
5,66 |
5,52 |
2,97 |
31/dec/2025 |
29/jul/2015 |
- |
122,69 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1271725100 |
BSF European Select Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,58 |
2,67 |
3,70 |
0,27 |
1,29 |
1,28 |
31/mrt/2026 |
2,67 |
2,47 |
5,99 |
-6,10 |
-3,22 |
31/mrt/2026 |
-1,58 |
0,35 |
11,52 |
1,34 |
13,73 |
14,41 |
31/mrt/2026 |
2,31 |
-14,01 |
7,93 |
2,61 |
5,42 |
31/dec/2025 |
19/aug/2015 |
- |
115,79 |
- |
157,76 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1271725365 |
BSF European Select Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,44 |
3,30 |
4,33 |
0,87 |
1,91 |
1,89 |
31/mrt/2026 |
3,30 |
3,09 |
6,63 |
-5,55 |
-2,64 |
31/mrt/2026 |
-1,44 |
0,65 |
13,55 |
4,42 |
20,77 |
21,93 |
31/mrt/2026 |
2,92 |
-13,49 |
8,58 |
3,22 |
6,06 |
31/dec/2025 |
19/aug/2015 |
- |
123,46 |
- |
157,76 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1271725449 |
BSF European Select Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,71 |
2,16 |
3,19 |
-0,23 |
0,79 |
0,77 |
31/mrt/2026 |
2,16 |
1,96 |
5,48 |
-6,58 |
-3,70 |
31/mrt/2026 |
-1,71 |
0,09 |
9,86 |
-1,17 |
8,19 |
8,50 |
31/mrt/2026 |
1,80 |
-14,43 |
7,40 |
2,09 |
4,90 |
31/dec/2025 |
19/aug/2015 |
- |
109,77 |
- |
157,76 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1271725522 |
BSF European Select Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,71 |
2,16 |
3,19 |
-0,23 |
0,79 |
0,77 |
31/mrt/2026 |
2,16 |
1,96 |
5,48 |
-6,59 |
-3,70 |
31/mrt/2026 |
-1,71 |
0,10 |
9,87 |
-1,16 |
8,20 |
8,50 |
31/mrt/2026 |
1,80 |
-14,44 |
7,39 |
2,09 |
4,90 |
31/dec/2025 |
19/aug/2015 |
- |
109,55 |
- |
157,76 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1270847343 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,79 |
3,85 |
7,52 |
6,71 |
7,92 |
6,65 |
31/mrt/2026 |
3,85 |
1,57 |
17,84 |
4,90 |
6,12 |
31/mrt/2026 |
-5,79 |
-4,23 |
24,30 |
38,38 |
114,21 |
98,01 |
31/mrt/2026 |
28,13 |
-17,65 |
15,88 |
13,01 |
13,51 |
31/dec/2025 |
19/aug/2015 |
205.775,28 |
36,92 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1270847426 |
BGF European Equity Transition Fund |
BlackRock (Luxembourg) S.A. |
-1,97 |
9,75 |
7,09 |
5,73 |
7,65 |
5,92 |
31/mrt/2026 |
9,75 |
-3,04 |
15,41 |
-0,55 |
8,17 |
31/mrt/2026 |
-1,97 |
2,97 |
22,82 |
32,13 |
108,97 |
84,03 |
31/mrt/2026 |
29,59 |
-23,35 |
18,15 |
6,08 |
13,91 |
31/dec/2025 |
19/aug/2015 |
13.652,81 |
34,80 |
- |
299,85 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1276852156 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
1,45 |
4,47 |
10,40 |
7,35 |
7,07 |
6,20 |
31/mrt/2026 |
4,47 |
8,50 |
18,69 |
-5,70 |
12,35 |
31/mrt/2026 |
1,45 |
2,88 |
34,54 |
42,54 |
98,01 |
89,30 |
31/mrt/2026 |
25,83 |
-10,13 |
11,27 |
23,82 |
-0,85 |
31/dec/2025 |
19/aug/2015 |
67.580.697,10 |
19,85 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1276852404 |
BGF Swiss Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-8,17 |
-1,47 |
-1,16 |
-1,42 |
7,37 |
7,32 |
31/mrt/2026 |
-1,47 |
-3,35 |
1,42 |
-10,52 |
7,71 |
31/mrt/2026 |
-8,17 |
-6,27 |
-3,43 |
-6,92 |
103,70 |
111,65 |
31/mrt/2026 |
33,80 |
-30,04 |
4,09 |
4,13 |
6,24 |
31/dec/2025 |
19/aug/2015 |
4.428.991,62 |
21,55 |
- |
338,13 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1257007309 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,05 |
2,91 |
3,24 |
-2,11 |
1,79 |
2,18 |
31/mrt/2026 |
2,91 |
3,95 |
2,86 |
-7,69 |
-11,51 |
31/mrt/2026 |
-1,05 |
-0,80 |
10,03 |
-10,13 |
19,40 |
25,66 |
31/mrt/2026 |
-5,16 |
-16,21 |
2,80 |
3,32 |
6,40 |
31/dec/2025 |
19/aug/2015 |
193.069.709,50 |
70,74 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1270847186 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,12 |
3,85 |
4,90 |
1,89 |
2,74 |
2,43 |
31/mrt/2026 |
3,85 |
4,94 |
5,91 |
-2,36 |
-2,56 |
31/mrt/2026 |
-1,12 |
-0,21 |
15,43 |
9,82 |
31,00 |
28,97 |
31/mrt/2026 |
0,43 |
-6,27 |
6,38 |
4,08 |
6,46 |
31/dec/2025 |
19/aug/2015 |
14.134.842,96 |
9,77 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1257007564 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,85 |
5,15 |
4,52 |
1,32 |
4,33 |
4,14 |
31/mrt/2026 |
5,15 |
2,04 |
6,42 |
-8,22 |
1,87 |
31/mrt/2026 |
-1,85 |
-0,76 |
14,19 |
6,76 |
52,80 |
53,81 |
31/mrt/2026 |
8,30 |
-13,20 |
6,68 |
3,09 |
7,65 |
31/dec/2025 |
19/aug/2015 |
23.260.296,41 |
85,26 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1278928657 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
1,98 |
1,79 |
2,66 |
2,76 |
3,27 |
3,24 |
31/mrt/2026 |
1,79 |
0,86 |
5,38 |
0,48 |
5,39 |
31/mrt/2026 |
1,98 |
4,19 |
8,19 |
14,57 |
37,90 |
40,14 |
31/mrt/2026 |
9,22 |
2,63 |
2,64 |
7,08 |
-3,37 |
31/dec/2025 |
26/aug/2015 |
- |
142,90 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1278928491 |
BSF Systematic World Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,25 |
11,64 |
14,12 |
9,90 |
11,16 |
10,57 |
31/mrt/2026 |
11,64 |
4,67 |
27,18 |
-6,87 |
15,85 |
31/mrt/2026 |
-3,25 |
0,86 |
48,61 |
60,34 |
188,16 |
189,51 |
31/mrt/2026 |
32,52 |
-15,23 |
20,90 |
26,44 |
6,47 |
31/dec/2025 |
02/sep/2015 |
- |
311,92 |
- |
2.837,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1279613365 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-3,95 |
20,57 |
6,35 |
-1,99 |
3,94 |
4,11 |
31/mrt/2026 |
20,57 |
4,44 |
-4,48 |
-11,05 |
-15,48 |
31/mrt/2026 |
-3,95 |
-1,23 |
20,28 |
-9,57 |
47,12 |
53,00 |
31/mrt/2026 |
-5,68 |
-21,75 |
-0,91 |
4,76 |
26,93 |
31/dec/2025 |
09/sep/2015 |
7.928.830,71 |
17,85 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1279613282 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-4,42 |
18,98 |
5,00 |
-2,42 |
3,99 |
4,15 |
31/mrt/2026 |
18,98 |
3,12 |
-5,65 |
-10,76 |
-14,34 |
31/mrt/2026 |
-4,42 |
-2,10 |
15,75 |
-11,52 |
47,83 |
53,60 |
31/mrt/2026 |
-5,24 |
-20,73 |
-1,90 |
3,55 |
25,35 |
31/dec/2025 |
09/sep/2015 |
620.602,87 |
17,94 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1279613795 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-5,11 |
19,39 |
5,22 |
-4,44 |
2,67 |
2,78 |
31/mrt/2026 |
19,39 |
3,32 |
-5,58 |
-15,35 |
-19,20 |
31/mrt/2026 |
-5,11 |
-2,69 |
16,48 |
-20,33 |
30,09 |
33,60 |
31/mrt/2026 |
-7,02 |
-26,74 |
-2,62 |
4,82 |
24,60 |
31/dec/2025 |
09/sep/2015 |
2.976.847,14 |
15,58 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1279613951 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,49 |
21,99 |
7,40 |
-3,31 |
3,43 |
3,57 |
31/mrt/2026 |
21,99 |
5,42 |
-3,68 |
-15,17 |
-19,56 |
31/mrt/2026 |
-4,49 |
-1,43 |
23,87 |
-15,47 |
40,17 |
44,80 |
31/mrt/2026 |
-6,70 |
-27,17 |
-0,89 |
6,81 |
27,18 |
31/dec/2025 |
09/sep/2015 |
7.208.689,43 |
16,88 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1279613878 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,99 |
20,28 |
6,00 |
-3,73 |
3,44 |
3,56 |
31/mrt/2026 |
20,28 |
4,07 |
-4,86 |
-14,68 |
-18,63 |
31/mrt/2026 |
-4,99 |
-2,36 |
19,09 |
-17,31 |
40,21 |
44,70 |
31/mrt/2026 |
-6,32 |
-26,18 |
-1,88 |
5,57 |
25,66 |
31/dec/2025 |
09/sep/2015 |
3.137.108,36 |
16,88 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1279614090 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,33 |
22,88 |
8,17 |
-2,58 |
4,21 |
4,35 |
31/mrt/2026 |
22,88 |
6,16 |
-2,99 |
-14,49 |
-18,91 |
31/mrt/2026 |
-4,33 |
-1,13 |
26,55 |
-12,26 |
51,06 |
56,80 |
31/mrt/2026 |
-5,97 |
-26,63 |
-0,17 |
7,66 |
28,15 |
31/dec/2025 |
09/sep/2015 |
2.509.532,12 |
18,29 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1278928574 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
-0,19 |
6,06 |
2,54 |
0,36 |
1,43 |
1,58 |
31/mrt/2026 |
6,06 |
-0,75 |
2,43 |
-4,18 |
-1,46 |
31/mrt/2026 |
-0,19 |
1,37 |
7,82 |
1,81 |
15,26 |
17,96 |
31/mrt/2026 |
0,09 |
-5,67 |
3,82 |
-1,29 |
6,75 |
31/dec/2025 |
09/sep/2015 |
- |
119,25 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1279613100 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-4,63 |
18,14 |
4,20 |
-3,14 |
3,21 |
3,38 |
31/mrt/2026 |
18,14 |
2,30 |
-6,37 |
-11,37 |
-15,01 |
31/mrt/2026 |
-4,63 |
-2,47 |
13,15 |
-14,77 |
37,20 |
42,00 |
31/mrt/2026 |
-5,88 |
-21,38 |
-2,59 |
2,75 |
24,50 |
31/dec/2025 |
09/sep/2015 |
862.386,77 |
16,57 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1279613522 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-3,77 |
21,55 |
7,14 |
-1,25 |
4,73 |
4,91 |
31/mrt/2026 |
21,55 |
5,25 |
-3,86 |
-10,37 |
-14,84 |
31/mrt/2026 |
-3,77 |
-0,84 |
23,00 |
-6,12 |
58,81 |
65,80 |
31/mrt/2026 |
-4,98 |
-21,16 |
-0,16 |
5,56 |
27,91 |
31/dec/2025 |
09/sep/2015 |
9.907.758,74 |
19,35 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1289970086 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-4,66 |
20,95 |
16,60 |
9,69 |
10,69 |
11,54 |
31/mrt/2026 |
20,95 |
13,59 |
15,40 |
13,07 |
-11,42 |
31/mrt/2026 |
-4,66 |
4,19 |
58,53 |
58,78 |
176,10 |
215,80 |
31/mrt/2026 |
3,86 |
-0,33 |
26,52 |
-2,11 |
43,16 |
31/dec/2025 |
18/sep/2015 |
- |
339,88 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1294567364 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,63 |
5,60 |
5,86 |
2,24 |
2,57 |
2,34 |
31/mrt/2026 |
5,60 |
5,94 |
6,03 |
-3,32 |
-2,58 |
31/mrt/2026 |
-0,63 |
0,64 |
18,62 |
11,73 |
28,92 |
27,60 |
31/mrt/2026 |
0,14 |
-6,77 |
6,29 |
4,58 |
8,13 |
31/dec/2025 |
23/sep/2015 |
3.975.397,19 |
4,74 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1294567109 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,84 |
5,14 |
4,78 |
0,19 |
1,57 |
1,45 |
31/mrt/2026 |
5,14 |
2,46 |
6,78 |
-10,37 |
-2,09 |
31/mrt/2026 |
-1,84 |
-0,81 |
15,04 |
0,96 |
16,82 |
16,33 |
31/mrt/2026 |
4,36 |
-15,99 |
6,53 |
3,93 |
7,51 |
31/dec/2025 |
23/sep/2015 |
16.336.423,09 |
6,66 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1288049866 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,60 |
9,81 |
5,77 |
3,34 |
4,08 |
4,25 |
31/mrt/2026 |
9,81 |
2,32 |
5,31 |
-1,27 |
0,87 |
31/mrt/2026 |
0,60 |
3,12 |
18,32 |
17,84 |
49,15 |
54,92 |
31/mrt/2026 |
2,24 |
-2,92 |
6,85 |
1,62 |
10,55 |
31/dec/2025 |
23/sep/2015 |
- |
156,94 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1288049940 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,17 |
7,67 |
4,10 |
1,89 |
2,98 |
3,16 |
31/mrt/2026 |
7,67 |
0,77 |
3,97 |
-2,73 |
0,07 |
31/mrt/2026 |
0,17 |
2,13 |
12,80 |
9,80 |
34,16 |
38,77 |
31/mrt/2026 |
1,69 |
-4,24 |
5,39 |
0,24 |
8,35 |
31/dec/2025 |
23/sep/2015 |
- |
140,30 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1301847155 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,22 |
8,23 |
7,51 |
2,84 |
4,31 |
4,05 |
31/mrt/2026 |
8,23 |
4,79 |
9,56 |
-7,02 |
-0,46 |
31/mrt/2026 |
-1,22 |
0,45 |
24,27 |
15,01 |
52,43 |
51,67 |
31/mrt/2026 |
5,82 |
-13,15 |
9,78 |
6,23 |
10,59 |
31/dec/2025 |
07/okt/2015 |
31.849.988,34 |
9,16 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1308276671 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
9,01 |
8,81 |
2,84 |
3,27 |
3,42 |
31/mrt/2026 |
9,01 |
3,90 |
13,74 |
-1,85 |
-9,03 |
31/mrt/2026 |
-1,59 |
2,15 |
28,81 |
15,01 |
37,92 |
42,02 |
31/mrt/2026 |
-11,60 |
-6,43 |
15,47 |
2,85 |
12,23 |
31/dec/2025 |
21/okt/2015 |
- |
83,74 |
- |
1.287,30 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1308276598 |
BSF European Select Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
2,67 |
3,70 |
0,27 |
1,29 |
1,37 |
31/mrt/2026 |
2,67 |
2,48 |
6,00 |
-6,12 |
-3,21 |
31/mrt/2026 |
-1,59 |
0,34 |
11,52 |
1,33 |
13,71 |
15,29 |
31/mrt/2026 |
2,31 |
-14,01 |
7,93 |
2,60 |
5,42 |
31/dec/2025 |
21/okt/2015 |
- |
109,34 |
- |
157,76 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1308276754 |
BSF European Select Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,06 |
5,27 |
6,00 |
2,57 |
3,74 |
3,61 |
31/mrt/2026 |
5,27 |
4,19 |
8,58 |
-2,92 |
-1,78 |
31/mrt/2026 |
-1,06 |
1,49 |
19,09 |
13,55 |
44,43 |
44,72 |
31/mrt/2026 |
3,70 |
-11,38 |
11,14 |
4,29 |
7,83 |
31/dec/2025 |
28/okt/2015 |
- |
128,75 |
- |
157,76 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1314333441 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,04 |
3,59 |
5,58 |
1,92 |
4,01 |
3,53 |
31/mrt/2026 |
3,59 |
4,06 |
9,17 |
-5,66 |
-0,95 |
31/mrt/2026 |
-2,04 |
-1,03 |
17,68 |
9,96 |
48,22 |
43,53 |
31/mrt/2026 |
4,18 |
-12,48 |
10,64 |
5,46 |
5,69 |
31/dec/2025 |
04/nov/2015 |
9.196.251,14 |
7,33 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1294567448 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,54 |
4,17 |
3,13 |
-0,61 |
0,78 |
0,91 |
31/mrt/2026 |
4,17 |
4,15 |
1,10 |
-6,96 |
-4,94 |
31/mrt/2026 |
-0,54 |
0,46 |
9,68 |
-3,00 |
8,06 |
9,90 |
31/mrt/2026 |
-1,71 |
-15,13 |
4,30 |
1,28 |
7,18 |
31/dec/2025 |
04/nov/2015 |
1.424.949,28 |
11,02 |
- |
530,12 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1321847714 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-4,54 |
21,56 |
17,19 |
10,24 |
11,24 |
11,56 |
31/mrt/2026 |
21,56 |
14,15 |
15,97 |
13,64 |
-10,98 |
31/mrt/2026 |
-4,54 |
4,45 |
60,92 |
62,80 |
190,26 |
210,84 |
31/mrt/2026 |
4,39 |
0,17 |
27,15 |
-1,62 |
43,88 |
31/dec/2025 |
18/nov/2015 |
- |
334,68 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1321847805 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-3,16 |
12,81 |
13,83 |
9,53 |
10,00 |
9,60 |
31/mrt/2026 |
12,81 |
12,90 |
15,82 |
14,54 |
-6,71 |
31/mrt/2026 |
-3,16 |
5,72 |
47,51 |
57,61 |
159,37 |
158,72 |
31/mrt/2026 |
11,79 |
5,22 |
21,56 |
3,90 |
26,03 |
31/dec/2025 |
18/nov/2015 |
- |
274,53 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1321847987 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-2,92 |
13,92 |
14,98 |
10,62 |
11,10 |
10,70 |
31/mrt/2026 |
13,92 |
14,06 |
16,98 |
15,69 |
-5,78 |
31/mrt/2026 |
-2,92 |
6,25 |
51,99 |
65,67 |
186,55 |
186,95 |
31/mrt/2026 |
12,90 |
6,27 |
22,77 |
4,97 |
27,27 |
31/dec/2025 |
18/nov/2015 |
- |
304,74 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| SUSE |
EUR |
IE00BYZTVV78 |
iShares € Corp Bond 0-3Yr ESG SRI UCITS ETF |
iShares II plc |
-0,26 |
1,93 |
3,60 |
1,45 |
0,83 |
0,84 |
31/mrt/2026 |
1,93 |
4,46 |
4,44 |
-2,08 |
-1,29 |
31/mrt/2026 |
-0,26 |
0,26 |
11,20 |
7,49 |
8,59 |
8,96 |
31/mrt/2026 |
-0,24 |
-3,82 |
4,48 |
4,35 |
3,00 |
31/dec/2025 |
07/jan/2016 |
2.174.011.859,03 |
4,98 |
- |
3.710,78 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1321848019 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-5,36 |
17,71 |
14,12 |
7,02 |
8,39 |
8,96 |
31/mrt/2026 |
17,71 |
11,24 |
13,49 |
8,43 |
-12,89 |
31/mrt/2026 |
-5,36 |
2,95 |
48,61 |
40,37 |
123,72 |
142,56 |
31/mrt/2026 |
3,05 |
-4,55 |
23,67 |
-3,69 |
39,26 |
31/dec/2025 |
02/dec/2015 |
- |
260,51 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1323998911 |
BGF Asian Multi-Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,25 |
14,84 |
8,67 |
1,26 |
3,94 |
4,63 |
31/mrt/2026 |
14,84 |
8,14 |
3,32 |
-7,21 |
-10,60 |
31/mrt/2026 |
-1,25 |
0,89 |
28,32 |
6,44 |
47,12 |
58,60 |
31/mrt/2026 |
-5,05 |
-14,98 |
5,51 |
7,44 |
18,26 |
31/dec/2025 |
20/jan/2016 |
21.832.635,37 |
17,15 |
- |
652,50 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1340096590 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
3,44 |
4,15 |
0,79 |
1,38 |
1,26 |
31/mrt/2026 |
3,44 |
4,30 |
4,71 |
-4,68 |
-3,39 |
31/mrt/2026 |
-1,15 |
-0,23 |
12,96 |
4,03 |
14,72 |
13,69 |
31/mrt/2026 |
-0,40 |
-8,15 |
4,71 |
3,21 |
6,11 |
31/dec/2025 |
06/jan/2016 |
1.998.808,09 |
8,66 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1333800354 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,83 |
10,03 |
8,62 |
5,25 |
8,04 |
8,30 |
31/mrt/2026 |
10,03 |
0,13 |
16,33 |
-9,59 |
11,45 |
31/mrt/2026 |
-3,83 |
0,91 |
28,17 |
29,15 |
116,67 |
126,22 |
31/mrt/2026 |
22,43 |
-5,73 |
7,89 |
4,52 |
17,08 |
31/dec/2025 |
06/jan/2016 |
1.639.650,49 |
243,53 |
- |
930,31 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1333800271 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,09 |
28,25 |
14,08 |
8,72 |
12,85 |
12,79 |
31/mrt/2026 |
28,25 |
-5,57 |
22,58 |
-9,53 |
13,12 |
31/mrt/2026 |
-6,09 |
-0,76 |
48,45 |
51,91 |
235,04 |
242,68 |
31/mrt/2026 |
26,92 |
-15,58 |
18,91 |
12,09 |
24,73 |
31/dec/2025 |
06/jan/2016 |
28.311.064,71 |
396,78 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1333800198 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,39 |
12,82 |
12,63 |
11,32 |
9,60 |
9,05 |
31/mrt/2026 |
12,82 |
10,74 |
14,37 |
6,85 |
11,97 |
31/mrt/2026 |
-2,39 |
5,11 |
42,89 |
70,96 |
150,09 |
142,64 |
31/mrt/2026 |
25,33 |
-1,56 |
13,32 |
10,66 |
22,81 |
31/dec/2025 |
06/jan/2016 |
1.271.207,04 |
251,14 |
- |
1.550,51 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1341466644 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
-0,35 |
5,29 |
1,71 |
0,30 |
1,99 |
2,29 |
31/mrt/2026 |
5,29 |
-1,78 |
1,75 |
-3,51 |
-0,01 |
31/mrt/2026 |
-0,35 |
0,99 |
5,22 |
1,52 |
21,84 |
25,92 |
31/mrt/2026 |
1,53 |
-4,66 |
3,37 |
-2,29 |
5,92 |
31/dec/2025 |
20/jan/2016 |
- |
127,10 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU1355424745 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,50 |
-5,53 |
0,07 |
1,37 |
- |
5,86 |
31/mrt/2026 |
-5,53 |
-8,61 |
16,08 |
-0,41 |
7,21 |
31/mrt/2026 |
-4,50 |
-6,44 |
0,22 |
7,02 |
- |
57,56 |
31/mrt/2026 |
26,68 |
-24,12 |
18,35 |
6,43 |
-5,19 |
31/dec/2025 |
04/apr/2018 |
1.034.917,96 |
167,21 |
- |
656,78 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1352905993 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,99 |
12,85 |
13,67 |
11,98 |
3,67 |
3,52 |
31/mrt/2026 |
12,85 |
13,49 |
14,66 |
15,94 |
3,43 |
31/mrt/2026 |
4,99 |
9,88 |
46,86 |
76,11 |
43,38 |
41,73 |
31/mrt/2026 |
14,17 |
1,63 |
13,85 |
16,65 |
13,28 |
31/dec/2025 |
29/feb/2016 |
- |
142,32 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1352906298 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,62 |
11,08 |
12,26 |
10,84 |
2,50 |
2,36 |
31/mrt/2026 |
11,08 |
12,31 |
13,40 |
14,60 |
3,19 |
31/mrt/2026 |
4,62 |
9,04 |
41,47 |
67,29 |
28,03 |
26,57 |
31/mrt/2026 |
13,88 |
0,81 |
12,44 |
15,46 |
11,55 |
31/dec/2025 |
29/feb/2016 |
- |
126,96 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1363273308 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
5,17 |
13,54 |
14,36 |
12,70 |
4,48 |
4,34 |
31/mrt/2026 |
13,54 |
14,23 |
15,33 |
16,69 |
4,16 |
31/mrt/2026 |
5,17 |
10,23 |
49,58 |
81,80 |
55,06 |
53,42 |
31/mrt/2026 |
15,00 |
2,29 |
14,54 |
17,39 |
13,96 |
31/dec/2025 |
29/feb/2016 |
- |
154,12 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1363273480 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,64 |
11,11 |
12,32 |
10,93 |
2,64 |
2,50 |
31/mrt/2026 |
11,11 |
12,40 |
13,46 |
14,72 |
3,34 |
31/mrt/2026 |
4,64 |
9,08 |
41,71 |
68,00 |
29,82 |
28,30 |
31/mrt/2026 |
14,07 |
0,94 |
12,48 |
15,58 |
11,58 |
31/dec/2025 |
29/feb/2016 |
- |
128,70 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1373035077 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,06 |
7,13 |
3,57 |
1,36 |
2,41 |
2,40 |
31/mrt/2026 |
7,13 |
0,26 |
3,44 |
-3,23 |
-0,49 |
31/mrt/2026 |
0,06 |
1,88 |
11,10 |
6,98 |
26,93 |
27,03 |
31/mrt/2026 |
1,03 |
-4,73 |
4,84 |
-0,28 |
7,80 |
31/dec/2025 |
02/mrt/2016 |
- |
128,53 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1373034930 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,48 |
9,37 |
5,27 |
2,83 |
3,48 |
3,47 |
31/mrt/2026 |
9,37 |
1,79 |
4,80 |
-1,79 |
0,33 |
31/mrt/2026 |
0,48 |
2,86 |
16,67 |
14,96 |
40,80 |
41,01 |
31/mrt/2026 |
1,62 |
-3,42 |
6,33 |
1,10 |
10,10 |
31/dec/2025 |
02/mrt/2016 |
- |
142,91 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1376384878 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
-0,07 |
6,58 |
3,05 |
0,85 |
1,89 |
1,87 |
31/mrt/2026 |
6,58 |
-0,25 |
2,92 |
-3,70 |
-0,98 |
31/mrt/2026 |
-0,07 |
1,62 |
9,42 |
4,34 |
20,55 |
20,45 |
31/mrt/2026 |
0,55 |
-5,20 |
4,31 |
-0,79 |
7,27 |
31/dec/2025 |
09/mrt/2016 |
- |
121,82 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1376384365 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,67 |
3,54 |
4,37 |
-0,66 |
1,12 |
1,15 |
31/mrt/2026 |
3,54 |
3,18 |
6,42 |
-8,93 |
-6,58 |
31/mrt/2026 |
-0,67 |
0,19 |
13,69 |
-3,28 |
11,80 |
12,13 |
31/mrt/2026 |
-2,92 |
-16,08 |
9,02 |
3,68 |
3,73 |
31/dec/2025 |
23/mrt/2016 |
182.782,82 |
10,43 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU1373034344 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-2,01 |
4,52 |
3,87 |
0,10 |
2,01 |
2,09 |
31/mrt/2026 |
4,52 |
1,21 |
5,94 |
-9,66 |
-0,73 |
31/mrt/2026 |
-2,01 |
-1,22 |
12,08 |
0,51 |
22,04 |
23,14 |
31/mrt/2026 |
5,57 |
-14,96 |
6,08 |
2,78 |
6,67 |
31/dec/2025 |
16/mrt/2016 |
746.981,04 |
7,52 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1373035150 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
6,66 |
5,26 |
10,97 |
11,82 |
3,08 |
2,67 |
31/mrt/2026 |
5,26 |
12,84 |
15,04 |
17,43 |
8,95 |
31/mrt/2026 |
6,66 |
11,52 |
36,64 |
74,81 |
35,45 |
30,34 |
31/mrt/2026 |
22,87 |
7,27 |
9,41 |
23,78 |
-0,26 |
31/dec/2025 |
16/mrt/2016 |
- |
129,03 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1373035408 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
5,14 |
13,50 |
14,30 |
12,62 |
4,34 |
4,24 |
31/mrt/2026 |
13,50 |
14,12 |
15,30 |
16,59 |
4,02 |
31/mrt/2026 |
5,14 |
10,23 |
49,34 |
81,13 |
52,88 |
51,73 |
31/mrt/2026 |
14,82 |
2,19 |
14,50 |
17,30 |
13,92 |
31/dec/2025 |
16/mrt/2016 |
- |
152,42 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1373035234 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,36 |
9,89 |
11,07 |
9,66 |
1,37 |
1,28 |
31/mrt/2026 |
9,89 |
11,12 |
12,21 |
13,40 |
2,08 |
31/mrt/2026 |
4,36 |
8,48 |
37,02 |
58,60 |
14,62 |
13,67 |
31/mrt/2026 |
12,68 |
-0,26 |
11,24 |
14,26 |
10,33 |
31/dec/2025 |
16/mrt/2016 |
- |
113,93 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1373034187 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-2,14 |
4,40 |
3,88 |
0,10 |
2,03 |
2,11 |
31/mrt/2026 |
4,40 |
1,29 |
6,00 |
-9,69 |
-0,73 |
31/mrt/2026 |
-2,14 |
-1,28 |
12,09 |
0,49 |
22,20 |
23,30 |
31/mrt/2026 |
5,47 |
-14,94 |
6,10 |
2,79 |
6,78 |
31/dec/2025 |
16/mrt/2016 |
34.018,87 |
12,69 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1373035317 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
6,94 |
6,33 |
12,17 |
13,04 |
4,24 |
3,83 |
31/mrt/2026 |
6,33 |
14,17 |
16,26 |
18,74 |
10,13 |
31/mrt/2026 |
6,94 |
12,09 |
41,15 |
84,57 |
51,42 |
45,79 |
31/mrt/2026 |
24,29 |
8,37 |
10,62 |
25,29 |
0,74 |
31/dec/2025 |
16/mrt/2016 |
- |
144,45 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU0784383472 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-2,33 |
3,48 |
2,94 |
-0,79 |
1,14 |
1,22 |
31/mrt/2026 |
3,48 |
0,37 |
5,02 |
-10,46 |
-1,62 |
31/mrt/2026 |
-2,33 |
-1,74 |
9,07 |
-3,91 |
11,99 |
13,00 |
31/mrt/2026 |
4,57 |
-15,68 |
4,99 |
1,96 |
5,76 |
31/dec/2025 |
16/mrt/2016 |
504.710,16 |
11,63 |
- |
4.168,63 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1373034260 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-2,34 |
3,45 |
2,92 |
-0,80 |
1,12 |
1,20 |
31/mrt/2026 |
3,45 |
0,41 |
4,96 |
-10,45 |
-1,63 |
31/mrt/2026 |
-2,34 |
-1,76 |
9,03 |
-3,96 |
11,77 |
12,78 |
31/mrt/2026 |
4,48 |
-15,65 |
5,09 |
1,82 |
5,77 |
31/dec/2025 |
16/mrt/2016 |
427.954,00 |
6,87 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU1387771113 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
-0,48 |
4,76 |
1,20 |
-0,22 |
- |
1,55 |
31/mrt/2026 |
4,76 |
-2,27 |
1,23 |
-3,99 |
-0,60 |
31/mrt/2026 |
-0,48 |
0,73 |
3,64 |
-1,10 |
- |
16,60 |
31/mrt/2026 |
0,86 |
-5,14 |
2,84 |
-2,81 |
5,41 |
31/dec/2025 |
06/apr/2016 |
- |
117,76 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1394251976 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
5,01 |
12,88 |
13,69 |
12,00 |
- |
3,74 |
31/mrt/2026 |
12,88 |
13,50 |
14,69 |
15,96 |
3,42 |
31/mrt/2026 |
5,01 |
9,92 |
46,94 |
76,23 |
- |
44,12 |
31/mrt/2026 |
14,16 |
1,62 |
13,91 |
16,66 |
13,28 |
31/dec/2025 |
13/apr/2016 |
- |
138,91 |
- |
343,62 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1394254640 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,49 |
10,44 |
11,63 |
10,22 |
- |
1,92 |
31/mrt/2026 |
10,44 |
11,67 |
12,79 |
13,97 |
2,61 |
31/mrt/2026 |
4,49 |
8,75 |
39,11 |
62,69 |
- |
20,84 |
31/mrt/2026 |
13,24 |
0,27 |
11,83 |
14,82 |
10,89 |
31/dec/2025 |
13/apr/2016 |
- |
118,38 |
- |
343,62 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU1400751324 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
-0,61 |
4,25 |
0,68 |
-0,72 |
- |
1,10 |
31/mrt/2026 |
4,25 |
-2,79 |
0,71 |
-4,46 |
-1,07 |
31/mrt/2026 |
-0,61 |
0,49 |
2,06 |
-3,54 |
- |
11,48 |
31/mrt/2026 |
0,34 |
-5,61 |
2,34 |
-3,33 |
4,89 |
31/dec/2025 |
27/apr/2016 |
- |
112,54 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| IMBS |
USD |
IE00BZ6V7883 |
iShares US Mortgage Backed Securities UCITS ETF |
iShares IV plc |
0,30 |
5,51 |
3,86 |
0,13 |
- |
1,14 |
31/mrt/2026 |
5,51 |
5,16 |
0,99 |
-5,07 |
-5,37 |
31/mrt/2026 |
0,30 |
1,97 |
12,05 |
0,65 |
- |
11,86 |
31/mrt/2026 |
-1,61 |
-12,11 |
4,74 |
0,97 |
8,33 |
31/dec/2025 |
23/mei/2016 |
907.778.951,53 |
4,23 |
- |
4.051,91 |
01/mei/2026 |
Distributie |
| - |
GBP |
LU1408527916 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,46 |
10,06 |
10,97 |
2,58 |
- |
2,34 |
31/mrt/2026 |
10,06 |
6,73 |
16,35 |
-11,80 |
-5,76 |
31/mrt/2026 |
-1,46 |
2,22 |
36,67 |
13,60 |
- |
25,74 |
31/mrt/2026 |
-3,23 |
-18,17 |
13,93 |
7,79 |
14,03 |
31/dec/2025 |
11/mei/2016 |
4.127.674,42 |
7,44 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1408528302 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,73 |
10,90 |
5,59 |
1,57 |
- |
0,65 |
31/mrt/2026 |
10,90 |
-0,01 |
6,16 |
0,87 |
-8,95 |
31/mrt/2026 |
-2,73 |
0,45 |
17,72 |
8,11 |
- |
6,66 |
31/mrt/2026 |
-8,51 |
-10,45 |
13,80 |
-6,66 |
19,11 |
31/dec/2025 |
11/mei/2016 |
902.914,19 |
5,44 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1408528211 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,77 |
11,48 |
6,25 |
2,46 |
- |
1,95 |
31/mrt/2026 |
11,48 |
0,38 |
7,18 |
2,94 |
-8,54 |
31/mrt/2026 |
-2,77 |
0,57 |
19,94 |
12,93 |
- |
21,08 |
31/mrt/2026 |
-8,20 |
-9,12 |
15,58 |
-6,30 |
19,83 |
31/dec/2025 |
11/mei/2016 |
17.999.723,95 |
6,23 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1408528484 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,99 |
9,57 |
4,86 |
1,40 |
- |
1,36 |
31/mrt/2026 |
9,57 |
-0,74 |
6,00 |
1,77 |
-8,65 |
31/mrt/2026 |
-2,99 |
0,05 |
15,29 |
7,17 |
- |
14,18 |
31/mrt/2026 |
-8,40 |
-9,78 |
14,04 |
-7,34 |
17,78 |
31/dec/2025 |
25/mei/2016 |
8.992.244,91 |
58,41 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1408528054 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,85 |
8,40 |
10,17 |
2,37 |
- |
2,68 |
31/mrt/2026 |
8,40 |
5,85 |
16,54 |
-10,67 |
-5,89 |
31/mrt/2026 |
-1,85 |
1,49 |
33,72 |
12,42 |
- |
29,79 |
31/mrt/2026 |
-3,10 |
-17,46 |
14,29 |
7,20 |
12,43 |
31/dec/2025 |
25/mei/2016 |
4.544.253,90 |
7,69 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1408528138 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,88 |
8,62 |
10,62 |
2,57 |
- |
2,99 |
31/mrt/2026 |
8,62 |
6,53 |
16,98 |
-11,18 |
-5,55 |
31/mrt/2026 |
-1,88 |
1,42 |
35,35 |
13,54 |
- |
33,67 |
31/mrt/2026 |
-3,02 |
-17,66 |
14,54 |
7,76 |
12,90 |
31/dec/2025 |
25/mei/2016 |
2.883.109,20 |
8,05 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1408528724 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,22 |
9,49 |
5,16 |
1,55 |
- |
1,44 |
31/mrt/2026 |
9,49 |
-0,29 |
6,52 |
1,56 |
-8,56 |
31/mrt/2026 |
-3,22 |
-0,36 |
16,29 |
8,00 |
- |
15,12 |
31/mrt/2026 |
-8,49 |
-9,90 |
14,58 |
-6,67 |
17,84 |
31/dec/2025 |
25/mei/2016 |
52.241,16 |
6,11 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1408528641 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,11 |
9,48 |
4,83 |
1,39 |
- |
1,20 |
31/mrt/2026 |
9,48 |
-0,94 |
6,21 |
2,16 |
-8,96 |
31/mrt/2026 |
-3,11 |
-0,32 |
15,18 |
7,13 |
- |
12,48 |
31/mrt/2026 |
-8,51 |
-9,77 |
14,56 |
-7,20 |
17,46 |
31/dec/2025 |
25/mei/2016 |
217.222,02 |
5,75 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| WING |
USD |
IE00BYM31M36 |
iShares Fallen Angels High Yield Corp Bond UCITS ETF |
iShares IV plc |
-1,99 |
7,43 |
7,58 |
2,58 |
- |
5,63 |
31/mrt/2026 |
7,43 |
5,82 |
9,53 |
-5,46 |
-3,51 |
31/mrt/2026 |
-1,99 |
-0,55 |
24,50 |
13,58 |
- |
70,83 |
31/mrt/2026 |
2,56 |
-14,29 |
12,70 |
3,22 |
12,64 |
31/dec/2025 |
21/jun/2016 |
382.989.746,89 |
5,46 |
- |
869,03 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1423762027 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,39 |
2,00 |
2,76 |
0,20 |
- |
0,20 |
31/mrt/2026 |
2,00 |
3,95 |
2,34 |
-2,59 |
-4,46 |
31/mrt/2026 |
-0,39 |
0,29 |
8,51 |
0,99 |
- |
2,00 |
31/mrt/2026 |
-1,29 |
-6,62 |
3,01 |
3,13 |
3,54 |
31/dec/2025 |
01/jun/2016 |
6.004.980,73 |
10,23 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1430597077 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
17,87 |
43,48 |
13,04 |
13,62 |
- |
10,12 |
31/mrt/2026 |
43,48 |
0,12 |
0,54 |
-6,41 |
40,07 |
31/mrt/2026 |
17,87 |
26,48 |
44,44 |
89,34 |
- |
157,51 |
31/mrt/2026 |
29,32 |
16,86 |
-2,03 |
-4,81 |
29,00 |
31/dec/2025 |
08/jun/2016 |
181.003,12 |
18,82 |
- |
421,31 |
30/apr/2026 |
Distributie |
| - |
USD |
LU0784383803 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,25 |
8,25 |
7,50 |
2,83 |
- |
4,22 |
31/mrt/2026 |
8,25 |
4,86 |
9,45 |
-6,94 |
-0,57 |
31/mrt/2026 |
-1,25 |
0,48 |
24,23 |
14,95 |
- |
49,79 |
31/mrt/2026 |
5,75 |
-13,17 |
9,87 |
6,17 |
10,66 |
31/dec/2025 |
22/jun/2016 |
39.907.089,64 |
9,01 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1435395121 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,53 |
1,35 |
2,63 |
-0,84 |
- |
1,09 |
31/mrt/2026 |
1,35 |
2,96 |
3,59 |
-6,19 |
-5,46 |
31/mrt/2026 |
-1,53 |
-1,46 |
8,10 |
-4,13 |
- |
11,16 |
31/mrt/2026 |
-2,03 |
-15,36 |
7,26 |
1,46 |
4,12 |
31/dec/2025 |
22/jun/2016 |
3.228.190,76 |
7,99 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1430596269 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,20 |
0,79 |
1,24 |
1,88 |
- |
1,25 |
31/mrt/2026 |
0,79 |
-1,56 |
4,59 |
4,50 |
1,22 |
31/mrt/2026 |
-2,20 |
-1,06 |
3,77 |
9,77 |
- |
12,72 |
31/mrt/2026 |
0,26 |
5,51 |
3,23 |
3,68 |
-0,35 |
31/dec/2025 |
18/aug/2016 |
- |
113,68 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1430596772 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,49 |
-0,73 |
-0,36 |
0,94 |
- |
0,91 |
31/mrt/2026 |
-0,73 |
-3,29 |
3,03 |
4,24 |
1,63 |
31/mrt/2026 |
-2,49 |
-1,78 |
-1,09 |
4,79 |
- |
9,07 |
31/mrt/2026 |
0,64 |
5,58 |
1,79 |
1,89 |
-1,95 |
31/dec/2025 |
18/aug/2016 |
- |
109,89 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1430596699 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,02 |
1,51 |
1,93 |
2,52 |
- |
1,84 |
31/mrt/2026 |
1,51 |
-0,83 |
5,20 |
5,12 |
1,74 |
31/mrt/2026 |
-2,02 |
-0,71 |
5,90 |
13,26 |
- |
19,13 |
31/mrt/2026 |
0,82 |
6,03 |
3,79 |
4,48 |
0,35 |
31/dec/2025 |
18/aug/2016 |
- |
120,21 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1430596426 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
3,60 |
3,67 |
4,04 |
- |
3,08 |
31/mrt/2026 |
3,60 |
0,70 |
6,80 |
6,67 |
2,55 |
31/mrt/2026 |
-1,59 |
0,26 |
11,41 |
21,88 |
- |
33,93 |
31/mrt/2026 |
1,51 |
7,50 |
5,37 |
5,91 |
2,45 |
31/dec/2025 |
18/aug/2016 |
- |
135,38 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1430596343 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,19 |
0,78 |
1,25 |
1,89 |
- |
1,24 |
31/mrt/2026 |
0,78 |
-1,55 |
4,60 |
4,50 |
1,25 |
31/mrt/2026 |
-2,19 |
-1,06 |
3,78 |
9,80 |
- |
12,54 |
31/mrt/2026 |
0,24 |
5,54 |
3,23 |
3,70 |
-0,37 |
31/dec/2025 |
18/aug/2016 |
- |
112,86 |
- |
181,68 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1430596186 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,78 |
2,82 |
2,89 |
3,31 |
- |
2,39 |
31/mrt/2026 |
2,82 |
-0,06 |
6,01 |
6,04 |
1,86 |
31/mrt/2026 |
-1,78 |
-0,12 |
8,94 |
17,66 |
- |
25,54 |
31/mrt/2026 |
0,83 |
6,85 |
4,63 |
5,11 |
1,69 |
31/dec/2025 |
18/aug/2016 |
- |
126,82 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1445717389 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,70 |
3,83 |
5,92 |
1,17 |
- |
2,54 |
31/mrt/2026 |
3,83 |
5,14 |
8,85 |
-5,71 |
-5,40 |
31/mrt/2026 |
-0,70 |
0,08 |
18,83 |
5,99 |
- |
27,50 |
31/mrt/2026 |
-1,07 |
-12,85 |
11,21 |
5,51 |
4,82 |
31/dec/2025 |
20/jul/2016 |
243.217,67 |
12,87 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1445718197 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,68 |
3,73 |
5,63 |
0,72 |
- |
1,62 |
31/mrt/2026 |
3,73 |
5,03 |
8,17 |
-7,03 |
-5,41 |
31/mrt/2026 |
-0,68 |
0,09 |
17,84 |
3,63 |
- |
16,90 |
31/mrt/2026 |
-1,32 |
-13,73 |
10,33 |
5,24 |
4,72 |
31/dec/2025 |
20/jul/2016 |
1.985.550,69 |
11,79 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1445718437 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,60 |
4,33 |
6,37 |
1,58 |
- |
2,95 |
31/mrt/2026 |
4,33 |
5,57 |
9,26 |
-5,33 |
-5,06 |
31/mrt/2026 |
-0,60 |
0,30 |
20,34 |
8,16 |
- |
32,50 |
31/mrt/2026 |
-0,73 |
-12,51 |
11,68 |
5,94 |
5,29 |
31/dec/2025 |
20/jul/2016 |
6.826.202,62 |
13,37 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1445719088 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,49 |
4,28 |
6,17 |
1,17 |
- |
2,05 |
31/mrt/2026 |
4,28 |
5,61 |
8,65 |
-6,70 |
-5,05 |
31/mrt/2026 |
-0,49 |
0,41 |
19,67 |
6,01 |
- |
21,70 |
31/mrt/2026 |
-0,87 |
-13,45 |
10,80 |
5,83 |
5,25 |
31/dec/2025 |
20/jul/2016 |
945,46 |
12,28 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1445718783 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
-0,20 |
1,93 |
-1,89 |
- |
-0,11 |
31/mrt/2026 |
-0,20 |
1,12 |
4,93 |
-8,61 |
-6,07 |
31/mrt/2026 |
-1,59 |
-1,79 |
5,89 |
-9,10 |
- |
-1,10 |
31/mrt/2026 |
-1,73 |
-14,84 |
6,97 |
1,63 |
0,70 |
31/dec/2025 |
20/jul/2016 |
6.971.117,08 |
9,94 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1445717629 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,76 |
-0,63 |
1,52 |
-2,28 |
- |
-0,53 |
31/mrt/2026 |
-0,63 |
0,74 |
4,52 |
-9,02 |
-6,38 |
31/mrt/2026 |
-1,76 |
-2,06 |
4,63 |
-10,88 |
- |
-5,00 |
31/mrt/2026 |
-2,23 |
-15,19 |
6,61 |
1,26 |
0,31 |
31/dec/2025 |
20/jul/2016 |
352.924,11 |
9,55 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1435395634 |
BlackRock ESG Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,09 |
0,98 |
2,23 |
-2,49 |
- |
-0,78 |
31/mrt/2026 |
0,98 |
1,37 |
4,36 |
-10,77 |
-7,51 |
31/mrt/2026 |
-1,09 |
-0,95 |
6,83 |
-11,84 |
- |
-7,20 |
31/mrt/2026 |
-4,01 |
-17,65 |
7,02 |
1,82 |
1,21 |
31/dec/2025 |
23/aug/2016 |
- |
93,14 |
- |
666,80 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1435395717 |
BlackRock ESG Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
0,99 |
2,23 |
-2,48 |
- |
-0,78 |
31/mrt/2026 |
0,99 |
1,36 |
4,37 |
-10,76 |
-7,50 |
31/mrt/2026 |
-1,08 |
-0,93 |
6,84 |
-11,81 |
- |
-7,24 |
31/mrt/2026 |
-4,03 |
-17,64 |
7,02 |
1,84 |
1,20 |
31/dec/2025 |
23/aug/2016 |
- |
90,04 |
- |
666,80 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1435395808 |
BlackRock ESG Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,99 |
1,35 |
2,59 |
-2,14 |
- |
-0,43 |
31/mrt/2026 |
1,35 |
1,73 |
4,72 |
-10,45 |
-7,18 |
31/mrt/2026 |
-0,99 |
-0,75 |
7,98 |
-10,25 |
- |
-4,02 |
31/mrt/2026 |
-3,69 |
-17,36 |
7,42 |
2,19 |
1,56 |
31/dec/2025 |
23/aug/2016 |
- |
96,35 |
- |
666,80 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1417814487 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
3,18 |
4,68 |
4,27 |
- |
2,83 |
31/mrt/2026 |
3,18 |
3,30 |
7,62 |
-0,33 |
7,80 |
31/mrt/2026 |
-1,15 |
-4,29 |
14,71 |
23,24 |
- |
30,65 |
31/mrt/2026 |
7,21 |
2,88 |
5,24 |
2,94 |
8,11 |
31/dec/2025 |
31/aug/2016 |
- |
137,96 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1417813836 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,66 |
-2,04 |
3,69 |
5,52 |
- |
3,56 |
31/mrt/2026 |
-2,04 |
4,03 |
9,38 |
2,96 |
13,98 |
31/mrt/2026 |
0,66 |
-2,00 |
11,47 |
30,81 |
- |
39,77 |
31/mrt/2026 |
15,70 |
10,22 |
2,68 |
10,52 |
-2,95 |
31/dec/2025 |
31/aug/2016 |
- |
145,71 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1417814131 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,40 |
-2,54 |
3,23 |
5,06 |
- |
3,12 |
31/mrt/2026 |
-2,54 |
3,56 |
8,99 |
2,48 |
13,52 |
31/mrt/2026 |
0,40 |
-2,35 |
10,00 |
27,97 |
- |
34,28 |
31/mrt/2026 |
15,45 |
9,71 |
2,20 |
10,12 |
-3,29 |
31/dec/2025 |
31/aug/2016 |
- |
140,14 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1417814560 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,79 |
0,93 |
2,29 |
2,68 |
- |
1,88 |
31/mrt/2026 |
0,93 |
0,71 |
5,30 |
-0,97 |
7,67 |
31/mrt/2026 |
-1,79 |
-5,45 |
7,03 |
14,12 |
- |
19,53 |
31/mrt/2026 |
7,09 |
2,51 |
3,23 |
0,30 |
5,92 |
31/dec/2025 |
31/aug/2016 |
- |
126,06 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1417814305 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,72 |
5,45 |
6,58 |
6,07 |
- |
4,77 |
31/mrt/2026 |
5,45 |
5,06 |
9,28 |
1,99 |
8,74 |
31/mrt/2026 |
-0,72 |
-3,30 |
21,06 |
34,26 |
- |
56,24 |
31/mrt/2026 |
8,01 |
4,94 |
7,05 |
4,53 |
10,63 |
31/dec/2025 |
31/aug/2016 |
- |
165,30 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1417814057 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,84 |
4,80 |
5,85 |
5,26 |
- |
3,54 |
31/mrt/2026 |
4,80 |
4,31 |
8,49 |
1,06 |
7,84 |
31/mrt/2026 |
-0,84 |
-3,41 |
18,59 |
29,24 |
- |
39,63 |
31/mrt/2026 |
7,03 |
3,87 |
6,32 |
3,94 |
9,64 |
31/dec/2025 |
31/aug/2016 |
- |
147,40 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1417813919 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,46 |
2,24 |
3,78 |
3,37 |
- |
2,02 |
31/mrt/2026 |
2,24 |
2,35 |
6,82 |
-1,15 |
6,82 |
31/mrt/2026 |
-1,46 |
-4,62 |
11,77 |
18,02 |
- |
21,16 |
31/mrt/2026 |
6,35 |
1,86 |
4,41 |
2,12 |
7,21 |
31/dec/2025 |
31/aug/2016 |
- |
127,64 |
- |
41,91 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1484781395 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
2,05 |
2,13 |
-1,56 |
- |
-0,23 |
31/mrt/2026 |
2,05 |
2,66 |
1,67 |
-7,73 |
-5,92 |
31/mrt/2026 |
-1,15 |
-0,47 |
6,51 |
-7,54 |
- |
-2,15 |
31/mrt/2026 |
-3,11 |
-14,82 |
4,91 |
1,16 |
3,79 |
31/dec/2025 |
21/sep/2016 |
1.523.449,89 |
8,64 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1484781478 |
BGF Global Government Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,46 |
0,44 |
1,16 |
-2,09 |
- |
-0,17 |
31/mrt/2026 |
0,44 |
1,74 |
1,32 |
-7,60 |
-5,93 |
31/mrt/2026 |
-1,46 |
-0,96 |
3,53 |
-10,00 |
- |
-1,59 |
31/mrt/2026 |
-3,11 |
-14,69 |
4,54 |
0,33 |
2,31 |
31/dec/2025 |
21/sep/2016 |
33.681,75 |
86,47 |
- |
812,75 |
30/apr/2026 |
Distributie |
| - |
CZK |
LU1433515993 |
BSF European Select Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,34 |
3,77 |
5,36 |
2,75 |
- |
2,53 |
31/mrt/2026 |
3,77 |
3,37 |
9,04 |
-0,78 |
-1,33 |
31/mrt/2026 |
-1,34 |
0,86 |
16,96 |
14,50 |
- |
26,91 |
31/mrt/2026 |
3,32 |
-9,11 |
11,62 |
3,83 |
6,53 |
31/dec/2025 |
14/sep/2016 |
- |
1.285,73 |
- |
157,76 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1495982198 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,32 |
0,26 |
0,75 |
1,46 |
- |
0,74 |
31/mrt/2026 |
0,26 |
-2,07 |
4,16 |
4,22 |
0,89 |
31/mrt/2026 |
-2,32 |
-1,32 |
2,27 |
7,54 |
- |
7,31 |
31/mrt/2026 |
-0,24 |
5,43 |
2,77 |
3,16 |
-0,88 |
31/dec/2025 |
28/sep/2016 |
- |
108,18 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1495982354 |
BlackRock ESG Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,21 |
0,48 |
1,72 |
-2,97 |
- |
-1,28 |
31/mrt/2026 |
0,48 |
0,86 |
3,84 |
-11,21 |
-7,96 |
31/mrt/2026 |
-1,21 |
-1,20 |
5,24 |
-14,00 |
- |
-11,55 |
31/mrt/2026 |
-4,49 |
-18,06 |
6,49 |
1,32 |
0,70 |
31/dec/2025 |
28/sep/2016 |
- |
88,74 |
- |
666,80 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1495981976 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,51 |
-1,69 |
2,73 |
2,35 |
- |
1,69 |
31/mrt/2026 |
-1,69 |
1,62 |
8,53 |
1,24 |
2,31 |
31/mrt/2026 |
-1,51 |
-0,05 |
8,42 |
12,30 |
- |
17,26 |
31/mrt/2026 |
7,46 |
0,81 |
6,01 |
9,73 |
-4,05 |
31/dec/2025 |
28/sep/2016 |
- |
119,06 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1495982271 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,87 |
1,57 |
3,23 |
2,83 |
- |
1,70 |
31/mrt/2026 |
1,57 |
1,72 |
6,46 |
-1,66 |
6,28 |
31/mrt/2026 |
-1,87 |
-5,18 |
10,00 |
14,96 |
- |
17,41 |
31/mrt/2026 |
6,32 |
1,36 |
3,85 |
1,67 |
6,82 |
31/dec/2025 |
28/sep/2016 |
- |
124,02 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1495982438 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,78 |
4,98 |
6,13 |
5,60 |
- |
4,46 |
31/mrt/2026 |
4,98 |
4,66 |
8,79 |
1,56 |
8,16 |
31/mrt/2026 |
-0,78 |
-3,32 |
19,53 |
31,29 |
- |
51,25 |
31/mrt/2026 |
7,44 |
4,37 |
6,61 |
4,07 |
10,09 |
31/dec/2025 |
05/okt/2016 |
- |
159,66 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1495982511 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
2,56 |
4,14 |
3,75 |
- |
2,53 |
31/mrt/2026 |
2,56 |
2,78 |
7,15 |
-0,75 |
7,27 |
31/mrt/2026 |
-1,28 |
-4,40 |
12,94 |
20,23 |
- |
26,75 |
31/mrt/2026 |
6,66 |
2,28 |
4,90 |
2,38 |
7,45 |
31/dec/2025 |
05/okt/2016 |
- |
133,48 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1495982602 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,85 |
-1,69 |
4,07 |
5,90 |
- |
4,14 |
31/mrt/2026 |
-1,69 |
4,58 |
9,64 |
3,19 |
14,49 |
31/mrt/2026 |
0,85 |
-1,76 |
12,73 |
33,18 |
- |
46,87 |
31/mrt/2026 |
16,21 |
10,42 |
2,95 |
11,08 |
-2,64 |
31/dec/2025 |
05/okt/2016 |
- |
153,00 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1495982784 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,19 |
-0,39 |
4,03 |
3,60 |
- |
3,12 |
31/mrt/2026 |
-0,39 |
2,86 |
9,88 |
2,46 |
3,46 |
31/mrt/2026 |
-1,19 |
0,61 |
12,58 |
19,34 |
- |
33,83 |
31/mrt/2026 |
8,82 |
1,97 |
7,28 |
11,06 |
-2,80 |
31/dec/2025 |
05/okt/2016 |
- |
136,03 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU1499592381 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
3,79 |
5,01 |
0,71 |
- |
1,79 |
31/mrt/2026 |
3,79 |
3,84 |
7,43 |
-4,77 |
-6,05 |
31/mrt/2026 |
-0,77 |
0,14 |
15,79 |
3,60 |
- |
18,21 |
31/mrt/2026 |
-3,21 |
-12,27 |
10,86 |
4,01 |
4,40 |
31/dec/2025 |
19/okt/2016 |
10.000.266,90 |
118,95 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1499592464 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,44 |
6,51 |
5,96 |
-0,33 |
- |
2,68 |
31/mrt/2026 |
6,51 |
2,02 |
9,48 |
-27,66 |
14,28 |
31/mrt/2026 |
-0,44 |
-0,74 |
18,97 |
-1,64 |
- |
28,33 |
31/mrt/2026 |
26,81 |
-29,79 |
11,83 |
-0,90 |
7,44 |
31/dec/2025 |
19/okt/2016 |
2.134.931,88 |
10,31 |
- |
199,52 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1499592621 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,98 |
3,26 |
2,90 |
-2,05 |
- |
2,46 |
31/mrt/2026 |
3,26 |
-0,78 |
6,36 |
-29,25 |
16,95 |
31/mrt/2026 |
-0,98 |
-1,97 |
8,96 |
-9,85 |
- |
25,83 |
31/mrt/2026 |
29,78 |
-30,40 |
8,52 |
-3,96 |
4,30 |
31/dec/2025 |
19/okt/2016 |
2.096.198,01 |
102,51 |
- |
199,52 |
30/apr/2026 |
Distributie |
| - |
PLN |
LU1499592118 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,46 |
100,78 |
40,75 |
21,49 |
- |
11,74 |
31/mrt/2026 |
100,78 |
46,27 |
-5,05 |
-12,33 |
8,25 |
31/mrt/2026 |
1,46 |
21,71 |
178,85 |
164,65 |
- |
185,43 |
31/mrt/2026 |
-11,35 |
-16,00 |
5,67 |
13,17 |
158,63 |
31/dec/2025 |
19/okt/2016 |
12.974.923,02 |
284,97 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
PLN |
LU1499592209 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-3,71 |
23,15 |
8,76 |
0,74 |
- |
5,10 |
31/mrt/2026 |
23,15 |
6,68 |
-2,07 |
-5,33 |
-14,82 |
31/mrt/2026 |
-3,71 |
-0,39 |
28,65 |
3,75 |
- |
60,02 |
31/mrt/2026 |
-5,10 |
-17,41 |
2,34 |
6,77 |
30,10 |
31/dec/2025 |
19/okt/2016 |
12.685.311,34 |
186,85 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1513020419 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,26 |
1,89 |
3,33 |
5,99 |
- |
3,29 |
31/mrt/2026 |
1,89 |
1,83 |
6,33 |
7,25 |
13,06 |
31/mrt/2026 |
0,26 |
-2,31 |
10,32 |
33,77 |
- |
35,62 |
31/mrt/2026 |
8,13 |
16,27 |
0,88 |
5,36 |
2,32 |
31/dec/2025 |
02/nov/2016 |
- |
140,59 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1515016050 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,96 |
29,66 |
12,12 |
2,15 |
- |
6,81 |
31/mrt/2026 |
29,66 |
1,69 |
6,88 |
-7,88 |
-14,32 |
31/mrt/2026 |
-0,96 |
3,67 |
40,93 |
11,23 |
- |
85,15 |
31/mrt/2026 |
-1,07 |
-22,51 |
12,35 |
-3,36 |
37,58 |
31/dec/2025 |
23/nov/2016 |
9.923.903,20 |
16,01 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1515016217 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,55 |
31,52 |
12,72 |
2,16 |
- |
6,71 |
31/mrt/2026 |
31,52 |
1,96 |
6,81 |
-9,09 |
-14,56 |
31/mrt/2026 |
-0,55 |
4,71 |
43,24 |
11,26 |
- |
83,61 |
31/mrt/2026 |
-1,70 |
-23,27 |
11,92 |
-3,21 |
39,39 |
31/dec/2025 |
23/nov/2016 |
1.661.517,60 |
16,97 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1516381719 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,78 |
29,90 |
11,55 |
2,39 |
- |
8,01 |
31/mrt/2026 |
29,90 |
0,98 |
5,83 |
-8,25 |
-11,63 |
31/mrt/2026 |
-0,78 |
3,93 |
38,81 |
12,54 |
- |
105,33 |
31/mrt/2026 |
1,41 |
-21,73 |
11,14 |
-4,41 |
37,77 |
31/dec/2025 |
30/nov/2016 |
90.649,53 |
176,66 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1529944784 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,60 |
-0,22 |
0,75 |
-1,76 |
- |
1,48 |
31/mrt/2026 |
-0,22 |
1,09 |
1,38 |
-7,16 |
-3,63 |
31/mrt/2026 |
-1,60 |
-1,63 |
2,26 |
-8,51 |
- |
14,59 |
31/mrt/2026 |
0,74 |
-13,67 |
3,74 |
-0,22 |
1,82 |
31/dec/2025 |
21/dec/2016 |
514.095,07 |
87,36 |
- |
940,52 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1529944511 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,92 |
10,81 |
6,81 |
3,13 |
- |
4,43 |
31/mrt/2026 |
10,81 |
-0,78 |
10,81 |
-9,77 |
6,10 |
31/mrt/2026 |
-4,92 |
-2,76 |
21,84 |
16,64 |
- |
49,75 |
31/mrt/2026 |
15,52 |
-17,89 |
12,20 |
5,97 |
13,65 |
31/dec/2025 |
07/dec/2016 |
6.861,91 |
12,94 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1529943976 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,93 |
30,31 |
12,23 |
1,42 |
- |
5,46 |
31/mrt/2026 |
30,31 |
1,76 |
6,61 |
-10,19 |
-15,46 |
31/mrt/2026 |
-0,93 |
3,88 |
41,36 |
7,33 |
- |
64,00 |
31/mrt/2026 |
-1,88 |
-24,71 |
11,61 |
-3,25 |
38,27 |
31/dec/2025 |
07/dec/2016 |
1.117.428,95 |
14,12 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1529944198 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,47 |
32,58 |
13,96 |
2,92 |
- |
6,91 |
31/mrt/2026 |
32,58 |
3,38 |
7,97 |
-8,79 |
-14,46 |
31/mrt/2026 |
-0,47 |
4,89 |
47,98 |
15,46 |
- |
85,77 |
31/mrt/2026 |
-1,22 |
-23,43 |
13,23 |
-1,90 |
40,79 |
31/dec/2025 |
21/dec/2016 |
1.251.819,33 |
16,08 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1529944438 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
30,39 |
13,05 |
2,64 |
- |
7,23 |
31/mrt/2026 |
30,39 |
2,49 |
8,11 |
-8,22 |
-14,07 |
31/mrt/2026 |
-1,15 |
3,86 |
44,47 |
13,93 |
- |
91,01 |
31/mrt/2026 |
-1,39 |
-22,62 |
13,50 |
-2,44 |
38,87 |
31/dec/2025 |
21/dec/2016 |
69.909,24 |
17,21 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1529944354 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,71 |
31,45 |
13,21 |
2,77 |
- |
7,24 |
31/mrt/2026 |
31,45 |
2,17 |
8,03 |
-7,57 |
-14,53 |
31/mrt/2026 |
-0,71 |
4,18 |
45,10 |
14,63 |
- |
91,29 |
31/mrt/2026 |
-1,19 |
-22,46 |
13,38 |
-2,47 |
39,15 |
31/dec/2025 |
21/dec/2016 |
414.329,54 |
16,60 |
- |
208,01 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1572169370 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
5,06 |
13,32 |
14,06 |
12,45 |
- |
2,99 |
31/mrt/2026 |
13,32 |
13,89 |
14,96 |
16,69 |
3,84 |
31/mrt/2026 |
5,06 |
10,10 |
48,37 |
79,78 |
- |
30,70 |
31/mrt/2026 |
14,46 |
2,55 |
14,02 |
16,95 |
13,81 |
31/dec/2025 |
01/mrt/2017 |
- |
131,31 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1508158430 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,07 |
3,07 |
13,78 |
10,08 |
- |
6,37 |
31/mrt/2026 |
3,07 |
20,56 |
18,53 |
8,16 |
1,47 |
31/mrt/2026 |
1,07 |
3,49 |
47,29 |
61,66 |
- |
75,47 |
31/mrt/2026 |
9,61 |
6,38 |
14,50 |
23,91 |
6,13 |
31/dec/2025 |
22/feb/2017 |
- |
177,10 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1508158356 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,70 |
6,29 |
17,37 |
13,32 |
- |
9,50 |
31/mrt/2026 |
6,29 |
24,32 |
22,36 |
11,44 |
3,70 |
31/mrt/2026 |
1,70 |
4,97 |
61,67 |
86,83 |
- |
128,44 |
31/mrt/2026 |
11,97 |
9,42 |
18,06 |
27,79 |
9,65 |
31/dec/2025 |
22/feb/2017 |
- |
231,19 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1508158513 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,03 |
2,66 |
13,31 |
9,57 |
- |
5,88 |
31/mrt/2026 |
2,66 |
20,06 |
18,03 |
7,77 |
0,71 |
31/mrt/2026 |
1,03 |
3,32 |
45,48 |
57,91 |
- |
68,19 |
31/mrt/2026 |
8,95 |
6,15 |
13,81 |
23,43 |
5,62 |
31/dec/2025 |
22/feb/2017 |
- |
169,68 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1508157978 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,53 |
5,33 |
15,87 |
11,98 |
- |
8,34 |
31/mrt/2026 |
5,33 |
22,41 |
20,65 |
10,44 |
2,51 |
31/mrt/2026 |
1,53 |
4,57 |
55,56 |
76,11 |
- |
107,35 |
31/mrt/2026 |
10,29 |
8,47 |
16,64 |
25,71 |
8,44 |
31/dec/2025 |
22/feb/2017 |
- |
209,61 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1508158190 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,58 |
5,76 |
16,36 |
12,44 |
- |
8,79 |
31/mrt/2026 |
5,76 |
22,94 |
21,15 |
10,92 |
2,85 |
31/mrt/2026 |
1,58 |
4,74 |
57,54 |
79,71 |
- |
115,29 |
31/mrt/2026 |
10,65 |
8,94 |
17,13 |
26,25 |
8,97 |
31/dec/2025 |
22/feb/2017 |
- |
217,72 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1508158604 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,27 |
4,01 |
15,26 |
11,43 |
- |
7,54 |
31/mrt/2026 |
4,01 |
22,49 |
20,18 |
9,29 |
2,65 |
31/mrt/2026 |
1,27 |
3,91 |
53,11 |
71,76 |
- |
93,90 |
31/mrt/2026 |
11,06 |
7,58 |
15,74 |
26,03 |
7,27 |
31/dec/2025 |
22/feb/2017 |
- |
195,91 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1567862849 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,68 |
4,05 |
4,12 |
-0,82 |
- |
-1,07 |
31/mrt/2026 |
4,05 |
-0,47 |
8,99 |
-5,53 |
-9,99 |
31/mrt/2026 |
-2,68 |
-0,13 |
12,87 |
-4,03 |
- |
-9,25 |
31/mrt/2026 |
-12,68 |
-9,06 |
10,47 |
-1,45 |
7,29 |
31/dec/2025 |
08/mrt/2017 |
- |
92,67 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1567863144 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,87 |
3,30 |
3,37 |
-1,54 |
- |
-1,75 |
31/mrt/2026 |
3,30 |
-1,21 |
8,24 |
-6,19 |
-10,72 |
31/mrt/2026 |
-2,87 |
-0,51 |
10,46 |
-7,49 |
- |
-14,76 |
31/mrt/2026 |
-13,37 |
-9,75 |
9,69 |
-2,16 |
6,54 |
31/dec/2025 |
08/mrt/2017 |
- |
87,00 |
- |
1.287,30 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1567864464 |
BSF UK Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,57 |
3,75 |
3,84 |
4,29 |
- |
3,64 |
31/mrt/2026 |
3,75 |
0,73 |
7,14 |
7,38 |
2,60 |
31/mrt/2026 |
-1,57 |
0,29 |
11,97 |
23,37 |
- |
38,32 |
31/mrt/2026 |
1,61 |
7,92 |
5,93 |
6,09 |
2,49 |
31/dec/2025 |
08/mrt/2017 |
- |
139,82 |
- |
181,68 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1578216449 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-1,82 |
18,61 |
8,60 |
0,33 |
- |
4,61 |
31/mrt/2026 |
18,61 |
8,21 |
-0,21 |
-9,17 |
-12,63 |
31/mrt/2026 |
-1,82 |
2,06 |
28,08 |
1,64 |
- |
50,25 |
31/mrt/2026 |
3,01 |
-18,89 |
-1,04 |
16,76 |
16,48 |
31/dec/2025 |
15/mrt/2017 |
3.216.202,96 |
27,93 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1586024074 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,71 |
6,02 |
17,07 |
12,99 |
- |
8,81 |
31/mrt/2026 |
6,02 |
24,22 |
21,84 |
10,89 |
3,47 |
31/mrt/2026 |
1,71 |
4,93 |
60,47 |
84,13 |
- |
113,18 |
31/mrt/2026 |
11,59 |
9,10 |
17,36 |
27,71 |
9,32 |
31/dec/2025 |
12/apr/2017 |
- |
215,72 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1593227850 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,13 |
3,50 |
14,24 |
10,52 |
- |
6,83 |
31/mrt/2026 |
3,50 |
21,07 |
19,00 |
8,65 |
1,78 |
31/mrt/2026 |
1,13 |
3,66 |
49,11 |
64,88 |
- |
80,76 |
31/mrt/2026 |
9,65 |
6,89 |
15,01 |
24,45 |
6,60 |
31/dec/2025 |
12/apr/2017 |
- |
182,44 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1609299281 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,39 |
10,22 |
11,49 |
10,41 |
- |
1,16 |
31/mrt/2026 |
10,22 |
11,23 |
13,06 |
14,84 |
3,07 |
31/mrt/2026 |
4,39 |
8,56 |
38,60 |
64,05 |
- |
10,70 |
31/mrt/2026 |
13,76 |
1,14 |
11,91 |
14,76 |
10,59 |
31/dec/2025 |
24/mei/2017 |
- |
110,96 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1622601463 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,23 |
1,46 |
3,79 |
-0,66 |
- |
0,50 |
31/mrt/2026 |
1,46 |
3,24 |
6,74 |
-8,02 |
-5,91 |
31/mrt/2026 |
-1,23 |
-1,04 |
11,80 |
-3,24 |
- |
4,50 |
31/mrt/2026 |
-1,59 |
-14,64 |
8,87 |
3,73 |
2,48 |
31/dec/2025 |
14/jun/2017 |
3.649.225,72 |
105,25 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1352906025 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,48 |
10,43 |
11,59 |
10,24 |
- |
0,75 |
31/mrt/2026 |
10,43 |
11,63 |
12,73 |
14,03 |
2,76 |
31/mrt/2026 |
4,48 |
8,74 |
38,97 |
62,84 |
- |
6,84 |
31/mrt/2026 |
13,43 |
0,32 |
11,76 |
14,82 |
10,89 |
31/dec/2025 |
07/jun/2017 |
- |
107,13 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| SUSU |
USD |
IE00BZ048579 |
iShares $ Corp Bond 0-3Yr ESG SRI UCITS ETF |
iShares II plc |
0,43 |
4,38 |
5,12 |
2,79 |
- |
3,00 |
31/mrt/2026 |
4,38 |
5,84 |
5,14 |
0,87 |
-2,05 |
31/mrt/2026 |
0,43 |
1,61 |
16,15 |
14,76 |
- |
24,11 |
31/mrt/2026 |
-0,19 |
-2,26 |
5,45 |
5,27 |
5,47 |
31/dec/2025 |
12/dec/2018 |
535.218.873,21 |
5,06 |
- |
1.222,15 |
01/mei/2026 |
Distributie |
| - |
CHF |
LU1640627169 |
BSF Style Advantage Fund |
BlackRock (Luxembourg) S.A. |
4,09 |
8,65 |
9,77 |
9,15 |
- |
0,54 |
31/mrt/2026 |
8,65 |
9,62 |
11,04 |
13,81 |
2,93 |
31/mrt/2026 |
4,09 |
7,87 |
32,26 |
54,93 |
- |
4,84 |
31/mrt/2026 |
13,59 |
0,43 |
10,30 |
12,73 |
9,06 |
31/dec/2025 |
19/jul/2017 |
- |
104,93 |
- |
343,62 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1653088671 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-8,38 |
-8,38 |
- |
- |
- |
-2,89 |
31/dec/2018 |
- |
- |
- |
- |
- |
- |
-8,38 |
0,00 |
- |
- |
- |
-4,06 |
31/dec/2018 |
- |
- |
- |
- |
- |
- |
02/aug/2017 |
2.843.595,50 |
10,64 |
- |
1.080,21 |
22/mrt/2018 |
Distributie |
| - |
SGD |
LU1668664300 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-13,71 |
21,10 |
26,07 |
10,28 |
- |
10,12 |
31/mrt/2026 |
21,10 |
15,35 |
43,42 |
-14,03 |
-5,29 |
31/mrt/2026 |
-13,71 |
-6,51 |
100,35 |
63,14 |
- |
128,40 |
31/mrt/2026 |
15,81 |
-20,54 |
25,17 |
28,87 |
39,54 |
31/dec/2025 |
06/sep/2017 |
96.580.156,26 |
24,96 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1676225185 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,31 |
8,41 |
3,89 |
0,79 |
- |
-0,84 |
31/mrt/2026 |
8,41 |
-1,69 |
5,22 |
1,75 |
-8,86 |
31/mrt/2026 |
-3,31 |
-0,80 |
12,14 |
4,00 |
- |
-7,01 |
31/mrt/2026 |
-8,42 |
-9,87 |
13,34 |
-8,13 |
16,59 |
31/dec/2025 |
06/sep/2017 |
5.014.720,26 |
5,14 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU1668663914 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
-0,57 |
-0,72 |
-4,32 |
- |
-1,68 |
31/mrt/2026 |
-0,57 |
-2,25 |
0,68 |
-11,60 |
-7,32 |
31/mrt/2026 |
-1,59 |
-1,70 |
-2,15 |
-19,83 |
- |
-13,50 |
31/mrt/2026 |
-3,54 |
-17,78 |
3,32 |
-2,10 |
-0,57 |
31/dec/2025 |
06/sep/2017 |
475.745,37 |
868,00 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1681056062 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,75 |
1,22 |
1,71 |
-0,78 |
- |
-0,03 |
31/mrt/2026 |
1,22 |
1,49 |
2,43 |
-5,25 |
-3,55 |
31/mrt/2026 |
-1,75 |
-1,45 |
5,22 |
-3,84 |
- |
-0,29 |
31/mrt/2026 |
-0,60 |
-8,43 |
2,66 |
0,62 |
3,74 |
31/dec/2025 |
13/sep/2017 |
11.891.256,84 |
7,78 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| LQEE |
EUR |
IE00BF3N6Y61 |
iShares $ Corp Bond UCITS ETF |
iShares plc |
-1,12 |
2,36 |
2,04 |
-1,95 |
- |
0,00 |
31/mrt/2026 |
2,36 |
2,23 |
1,54 |
-9,74 |
-5,52 |
31/mrt/2026 |
-1,12 |
-1,22 |
6,25 |
-9,39 |
- |
0,03 |
31/mrt/2026 |
-2,53 |
-20,32 |
6,37 |
-0,96 |
5,59 |
31/dec/2025 |
21/sep/2017 |
247.590.489,38 |
3,64 |
- |
8.864,69 |
01/mei/2026 |
Distributie |
| - |
CHF |
LU1688375184 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,61 |
6,98 |
2,05 |
-0,82 |
- |
-2,19 |
31/mrt/2026 |
6,98 |
-3,61 |
3,08 |
-0,51 |
-9,27 |
31/mrt/2026 |
-3,61 |
-1,43 |
6,29 |
-4,06 |
- |
-17,20 |
31/mrt/2026 |
-9,05 |
-11,37 |
10,83 |
-9,77 |
14,84 |
31/dec/2025 |
27/sep/2017 |
531.050,78 |
8,49 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| GILE |
EUR |
IE00BD8PH174 |
iShares Global Inflation Linked Govt Bond UCITS ETF |
iShares III plc |
0,32 |
1,23 |
-0,20 |
-2,29 |
- |
-0,34 |
31/mrt/2026 |
1,23 |
0,12 |
-1,92 |
-13,80 |
3,93 |
31/mrt/2026 |
0,32 |
0,65 |
-0,60 |
-10,95 |
- |
-2,84 |
31/mrt/2026 |
4,49 |
-19,07 |
1,90 |
-2,15 |
2,32 |
31/dec/2025 |
22/sep/2017 |
99.978.387,07 |
4,49 |
- |
1.471,47 |
01/mei/2026 |
Distributie |
| - |
GBP |
LU1694209807 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,17 |
9,69 |
4,73 |
3,98 |
- |
1,35 |
31/mrt/2026 |
9,69 |
-1,05 |
5,85 |
9,56 |
-3,41 |
31/mrt/2026 |
-1,17 |
2,41 |
14,88 |
21,57 |
- |
12,02 |
31/mrt/2026 |
-6,74 |
2,31 |
10,02 |
-3,84 |
12,65 |
31/dec/2025 |
04/okt/2017 |
769,12 |
6,75 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1697783881 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
-0,07 |
6,60 |
3,06 |
0,86 |
- |
1,73 |
31/mrt/2026 |
6,60 |
-0,25 |
2,94 |
-3,71 |
-0,97 |
31/mrt/2026 |
-0,07 |
1,63 |
9,47 |
4,39 |
- |
15,65 |
31/mrt/2026 |
0,54 |
-5,19 |
4,33 |
-0,78 |
7,28 |
31/dec/2025 |
11/okt/2017 |
- |
116,96 |
- |
1.348,61 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1697774625 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
-3,37 |
22,75 |
7,65 |
-0,60 |
- |
2,59 |
31/mrt/2026 |
22,75 |
5,57 |
-3,74 |
-9,31 |
-14,21 |
31/mrt/2026 |
-3,37 |
0,00 |
24,73 |
-2,95 |
- |
24,16 |
31/mrt/2026 |
-4,81 |
-19,84 |
0,00 |
5,62 |
29,08 |
31/dec/2025 |
11/okt/2017 |
9.369,98 |
31,57 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| SUWS |
USD |
IE00BDZZTM54 |
iShares MSCI World SRI UCITS ETF |
iShares IV plc |
-3,69 |
14,78 |
11,91 |
7,80 |
- |
10,38 |
31/mrt/2026 |
14,78 |
1,81 |
19,94 |
-7,09 |
11,82 |
31/mrt/2026 |
-3,69 |
-1,93 |
40,16 |
45,61 |
- |
130,77 |
31/mrt/2026 |
25,07 |
-21,33 |
24,93 |
10,85 |
15,18 |
31/dec/2025 |
12/okt/2017 |
1.740.602.213,64 |
11,08 |
- |
9.803,51 |
01/mei/2026 |
Distributie |
| RBOD |
USD |
IE00BYWZ0333 |
iShares Automation & Robotics UCITS ETF |
iShares IV plc |
-6,88 |
17,67 |
10,64 |
4,58 |
- |
9,15 |
31/mrt/2026 |
17,67 |
-6,58 |
23,22 |
-6,36 |
-1,37 |
31/mrt/2026 |
-6,88 |
-4,68 |
35,45 |
25,11 |
- |
109,49 |
31/mrt/2026 |
21,01 |
-34,17 |
38,49 |
5,45 |
17,39 |
31/dec/2025 |
19/okt/2017 |
289.073.436,55 |
12,70 |
- |
4.775,66 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1706558696 |
BGF European Value Fund |
BlackRock (Luxembourg) S.A. |
-2,22 |
14,66 |
14,65 |
11,64 |
- |
8,02 |
31/mrt/2026 |
14,66 |
12,84 |
16,49 |
5,60 |
8,94 |
31/mrt/2026 |
-2,22 |
5,68 |
50,71 |
73,38 |
- |
91,57 |
31/mrt/2026 |
22,53 |
-3,76 |
14,94 |
13,02 |
24,97 |
31/dec/2025 |
25/okt/2017 |
892.183,80 |
16,40 |
- |
1.550,51 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1706558266 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,44 |
5,59 |
8,87 |
7,23 |
- |
6,64 |
31/mrt/2026 |
5,59 |
2,91 |
18,75 |
3,65 |
6,02 |
31/mrt/2026 |
-5,44 |
-3,48 |
29,03 |
41,80 |
- |
72,00 |
31/mrt/2026 |
28,37 |
-18,67 |
16,37 |
14,21 |
15,49 |
31/dec/2025 |
25/okt/2017 |
11.220.016,06 |
18,25 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1706558340 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,48 |
5,57 |
8,85 |
7,24 |
- |
6,64 |
31/mrt/2026 |
5,57 |
2,91 |
18,72 |
3,68 |
6,04 |
31/mrt/2026 |
-5,48 |
-3,53 |
28,98 |
41,81 |
- |
71,92 |
31/mrt/2026 |
28,32 |
-18,61 |
16,25 |
14,30 |
15,49 |
31/dec/2025 |
25/okt/2017 |
951.924,59 |
16,85 |
- |
1.289,97 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1706558936 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
2,32 |
104,63 |
43,09 |
23,08 |
- |
16,99 |
31/mrt/2026 |
104,63 |
48,02 |
-3,28 |
-11,96 |
9,48 |
31/mrt/2026 |
2,32 |
23,09 |
192,97 |
182,39 |
- |
275,30 |
31/mrt/2026 |
-9,68 |
-16,19 |
7,58 |
14,75 |
162,00 |
31/dec/2025 |
25/okt/2017 |
18.755,51 |
37,51 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1706558779 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
7,01 |
57,21 |
10,61 |
6,82 |
- |
11,59 |
31/mrt/2026 |
57,21 |
-13,72 |
-0,21 |
2,14 |
0,61 |
31/mrt/2026 |
7,01 |
14,91 |
35,34 |
39,07 |
- |
152,00 |
31/mrt/2026 |
16,80 |
-17,54 |
13,80 |
-8,14 |
34,57 |
31/dec/2025 |
25/okt/2017 |
8.631.895,78 |
28,07 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1706558852 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,74 |
40,32 |
18,80 |
22,22 |
- |
10,41 |
31/mrt/2026 |
40,32 |
0,49 |
18,92 |
3,78 |
56,69 |
31/mrt/2026 |
36,74 |
38,80 |
67,69 |
172,66 |
- |
130,40 |
31/mrt/2026 |
42,51 |
40,83 |
4,64 |
2,96 |
10,06 |
31/dec/2025 |
25/okt/2017 |
1.395.460,58 |
22,39 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1580143193 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,93 |
20,63 |
5,94 |
-0,59 |
- |
4,90 |
31/mrt/2026 |
20,63 |
18,08 |
-16,52 |
-9,42 |
-9,86 |
31/mrt/2026 |
-0,93 |
0,81 |
18,90 |
-2,92 |
- |
49,70 |
31/mrt/2026 |
1,32 |
-26,41 |
-12,67 |
16,63 |
25,29 |
31/dec/2025 |
26/okt/2017 |
18.753.377,75 |
16,52 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1580142542 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
19,46 |
4,88 |
-1,59 |
- |
3,85 |
31/mrt/2026 |
19,46 |
16,85 |
-17,37 |
-10,31 |
-10,81 |
31/mrt/2026 |
-1,15 |
0,29 |
15,35 |
-7,72 |
- |
37,50 |
31/mrt/2026 |
0,33 |
-27,22 |
-13,45 |
15,43 |
23,97 |
31/dec/2025 |
26/okt/2017 |
68.801.452,29 |
15,16 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1580142625 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,95 |
20,39 |
5,66 |
-0,84 |
- |
4,63 |
31/mrt/2026 |
20,39 |
17,72 |
-16,76 |
-9,61 |
-10,09 |
31/mrt/2026 |
-0,95 |
0,69 |
17,97 |
-4,13 |
- |
46,40 |
31/mrt/2026 |
1,02 |
-26,60 |
-12,85 |
16,32 |
24,94 |
31/dec/2025 |
26/okt/2017 |
98.381.509,02 |
16,15 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1715605868 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,39 |
8,58 |
3,47 |
-0,13 |
- |
-1,69 |
31/mrt/2026 |
8,58 |
-2,08 |
4,19 |
-0,48 |
-9,88 |
31/mrt/2026 |
-3,39 |
-0,76 |
10,77 |
-0,65 |
- |
-13,30 |
31/mrt/2026 |
-9,06 |
-12,01 |
12,00 |
-8,34 |
16,52 |
31/dec/2025 |
22/nov/2017 |
90.789,16 |
89,03 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1564328224 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
6,27 |
6,88 |
-3,38 |
- |
0,40 |
31/mrt/2026 |
6,27 |
11,84 |
2,72 |
-5,89 |
-26,71 |
31/mrt/2026 |
-0,77 |
0,49 |
22,08 |
-15,80 |
- |
3,40 |
31/mrt/2026 |
-17,14 |
-18,33 |
-2,28 |
15,60 |
10,73 |
31/dec/2025 |
01/dec/2017 |
43.352.270,37 |
10,59 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1564328141 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,89 |
5,69 |
6,39 |
-3,82 |
- |
-0,05 |
31/mrt/2026 |
5,69 |
11,48 |
2,20 |
-6,41 |
-26,96 |
31/mrt/2026 |
-0,89 |
0,20 |
20,42 |
-17,69 |
- |
-0,44 |
31/mrt/2026 |
-17,39 |
-18,68 |
-2,77 |
15,03 |
10,26 |
31/dec/2025 |
01/dec/2017 |
379.896.645,43 |
4,97 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1564328067 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,80 |
5,85 |
6,40 |
-3,81 |
- |
-0,06 |
31/mrt/2026 |
5,85 |
11,24 |
2,30 |
-6,46 |
-26,90 |
31/mrt/2026 |
-0,80 |
0,30 |
20,46 |
-17,63 |
- |
-0,50 |
31/mrt/2026 |
-17,41 |
-18,68 |
-2,70 |
15,03 |
10,10 |
31/dec/2025 |
01/dec/2017 |
54.468.304,85 |
10,18 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1706560163 |
BSF Emerging Markets Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,61 |
9,00 |
9,82 |
3,72 |
- |
3,27 |
31/mrt/2026 |
9,00 |
7,85 |
12,66 |
-2,88 |
-6,65 |
31/mrt/2026 |
-0,61 |
3,27 |
32,44 |
20,06 |
- |
30,69 |
31/mrt/2026 |
-1,70 |
-8,48 |
10,29 |
9,69 |
11,84 |
31/dec/2025 |
06/dec/2017 |
- |
134,29 |
- |
378,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1706560247 |
BSF Emerging Markets Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,81 |
8,09 |
8,91 |
2,84 |
- |
2,40 |
31/mrt/2026 |
8,09 |
6,93 |
11,75 |
-3,70 |
-7,53 |
31/mrt/2026 |
-0,81 |
2,85 |
29,17 |
15,03 |
- |
21,79 |
31/mrt/2026 |
-2,57 |
-9,30 |
9,37 |
8,78 |
10,90 |
31/dec/2025 |
06/dec/2017 |
- |
125,06 |
- |
378,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1706559827 |
BSF Emerging Markets Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,10 |
11,62 |
12,03 |
5,85 |
- |
5,51 |
31/mrt/2026 |
11,62 |
9,66 |
14,88 |
0,21 |
-5,71 |
31/mrt/2026 |
-0,10 |
4,40 |
40,61 |
32,87 |
- |
56,25 |
31/mrt/2026 |
-0,82 |
-5,91 |
12,78 |
11,54 |
14,40 |
31/dec/2025 |
06/dec/2017 |
- |
160,86 |
- |
378,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1706559744 |
BSF Emerging Markets Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,18 |
11,22 |
11,64 |
5,47 |
- |
5,14 |
31/mrt/2026 |
11,22 |
9,27 |
14,50 |
-0,16 |
-6,05 |
31/mrt/2026 |
-0,18 |
4,22 |
39,15 |
30,54 |
- |
51,76 |
31/mrt/2026 |
-1,16 |
-6,25 |
12,38 |
11,14 |
14,01 |
31/dec/2025 |
06/dec/2017 |
- |
156,19 |
- |
378,20 |
30/apr/2026 |
Kapitalisatie |
| IHYE |
EUR |
IE00BF3N7102 |
iShares $ High Yield Corp Bond UCITS ETF |
iShares II plc |
-1,19 |
4,46 |
5,52 |
1,72 |
- |
2,17 |
31/mrt/2026 |
4,46 |
5,65 |
6,44 |
-5,54 |
-1,86 |
31/mrt/2026 |
-1,19 |
-0,31 |
17,48 |
8,91 |
- |
18,88 |
31/mrt/2026 |
3,29 |
-11,65 |
8,03 |
4,94 |
7,06 |
31/dec/2025 |
05/mrt/2018 |
374.908.265,52 |
3,94 |
- |
5.970,34 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1722863484 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
1,69 |
2,91 |
-1,82 |
- |
-0,14 |
31/mrt/2026 |
1,69 |
1,96 |
5,13 |
-10,00 |
-7,01 |
31/mrt/2026 |
-1,08 |
-0,55 |
9,00 |
-8,78 |
- |
-1,12 |
31/mrt/2026 |
-3,38 |
-16,95 |
7,78 |
2,40 |
2,03 |
31/dec/2025 |
29/nov/2017 |
2.534.808,51 |
9,16 |
- |
1.642,04 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1722863302 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,32 |
3,04 |
4,14 |
3,80 |
- |
7,04 |
31/mrt/2026 |
3,04 |
-5,99 |
16,59 |
-1,39 |
8,20 |
31/mrt/2026 |
-5,32 |
-3,98 |
12,94 |
20,51 |
- |
76,30 |
31/mrt/2026 |
30,12 |
-24,03 |
18,73 |
7,98 |
5,86 |
31/dec/2025 |
29/nov/2017 |
47.784.391,83 |
18,66 |
- |
1.140,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1728038495 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,98 |
2,16 |
5,15 |
-0,26 |
- |
1,01 |
31/mrt/2026 |
2,16 |
5,66 |
7,70 |
-8,69 |
-6,99 |
31/mrt/2026 |
-1,98 |
-1,54 |
16,26 |
-1,27 |
- |
8,70 |
31/mrt/2026 |
-2,39 |
-14,87 |
4,58 |
6,31 |
6,23 |
31/dec/2025 |
29/nov/2017 |
1.729.597,60 |
11,08 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1669035997 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,15 |
11,38 |
5,51 |
0,36 |
- |
3,46 |
31/mrt/2026 |
11,38 |
3,57 |
1,81 |
-19,33 |
7,44 |
31/mrt/2026 |
1,15 |
1,62 |
17,45 |
1,79 |
- |
32,73 |
31/mrt/2026 |
13,20 |
-24,63 |
10,58 |
-4,16 |
14,59 |
31/dec/2025 |
30/nov/2017 |
- |
142,38 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1669036458 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,31 |
12,06 |
6,14 |
0,96 |
- |
4,08 |
31/mrt/2026 |
12,06 |
4,20 |
2,42 |
-18,84 |
8,08 |
31/mrt/2026 |
1,31 |
1,93 |
19,59 |
4,90 |
- |
39,51 |
31/mrt/2026 |
13,89 |
-24,18 |
11,24 |
-3,58 |
15,28 |
31/dec/2025 |
30/nov/2017 |
- |
149,72 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1669036888 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
2,76 |
3,89 |
3,01 |
0,21 |
- |
3,34 |
31/mrt/2026 |
3,89 |
2,95 |
2,19 |
-18,34 |
13,18 |
31/mrt/2026 |
2,76 |
3,13 |
9,31 |
1,04 |
- |
31,50 |
31/mrt/2026 |
21,78 |
-20,42 |
6,25 |
1,74 |
0,87 |
31/dec/2025 |
30/nov/2017 |
- |
139,07 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1721361928 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,40 |
12,45 |
6,49 |
1,28 |
- |
4,40 |
31/mrt/2026 |
12,45 |
4,52 |
2,73 |
-18,60 |
8,41 |
31/mrt/2026 |
1,40 |
2,13 |
20,75 |
6,55 |
- |
43,12 |
31/mrt/2026 |
14,23 |
-23,95 |
11,58 |
-3,28 |
15,67 |
31/dec/2025 |
30/nov/2017 |
- |
153,65 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1733226077 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
4,06 |
91,75 |
40,39 |
23,51 |
- |
18,22 |
31/mrt/2026 |
91,75 |
47,95 |
-2,47 |
-10,37 |
15,90 |
31/mrt/2026 |
4,06 |
25,20 |
176,70 |
187,45 |
- |
302,22 |
31/mrt/2026 |
-2,29 |
-11,06 |
3,86 |
22,41 |
131,80 |
31/dec/2025 |
06/dec/2017 |
314.681,12 |
32,08 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1741217456 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-3,56 |
26,47 |
10,69 |
-0,04 |
- |
3,15 |
31/mrt/2026 |
26,47 |
8,32 |
-1,01 |
-10,81 |
-17,48 |
31/mrt/2026 |
-3,56 |
0,25 |
35,60 |
-0,20 |
- |
29,18 |
31/mrt/2026 |
-4,85 |
-23,53 |
2,52 |
9,37 |
31,75 |
31/dec/2025 |
28/dec/2017 |
3.725.331,87 |
14,13 |
- |
531,81 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1741216995 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-2,36 |
13,43 |
5,02 |
-0,59 |
- |
4,60 |
31/mrt/2026 |
13,43 |
17,03 |
-12,74 |
-2,97 |
-13,61 |
31/mrt/2026 |
-2,36 |
-2,96 |
15,84 |
-2,90 |
- |
44,94 |
31/mrt/2026 |
-1,88 |
-20,88 |
-10,80 |
18,72 |
18,18 |
31/dec/2025 |
28/dec/2017 |
84.396.506,38 |
103,75 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1564329628 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,19 |
6,78 |
7,05 |
1,71 |
- |
2,73 |
31/mrt/2026 |
6,78 |
2,28 |
12,32 |
-12,27 |
1,14 |
31/mrt/2026 |
-3,19 |
-1,66 |
22,66 |
8,83 |
- |
24,50 |
31/mrt/2026 |
9,87 |
-19,18 |
11,21 |
7,36 |
8,80 |
31/dec/2025 |
06/feb/2018 |
8.102.322,79 |
13,05 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1706154686 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,11 |
7,40 |
7,17 |
1,09 |
- |
1,63 |
31/mrt/2026 |
7,40 |
2,44 |
11,89 |
-14,35 |
0,11 |
31/mrt/2026 |
-3,11 |
-1,45 |
23,10 |
5,55 |
- |
14,08 |
31/mrt/2026 |
8,96 |
-21,05 |
10,33 |
7,67 |
9,20 |
31/dec/2025 |
06/feb/2018 |
161.103.578,26 |
6,70 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1564329461 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,24 |
6,71 |
6,98 |
1,69 |
- |
2,65 |
31/mrt/2026 |
6,71 |
2,32 |
12,14 |
-12,26 |
1,21 |
31/mrt/2026 |
-3,24 |
-1,70 |
22,43 |
8,73 |
- |
23,76 |
31/mrt/2026 |
9,99 |
-19,24 |
11,28 |
7,37 |
8,66 |
31/dec/2025 |
06/feb/2018 |
374.825.856,28 |
7,28 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1697837992 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,87 |
7,98 |
7,97 |
2,24 |
- |
3,17 |
31/mrt/2026 |
7,98 |
3,14 |
13,01 |
-12,24 |
1,15 |
31/mrt/2026 |
-2,87 |
-0,81 |
25,87 |
11,74 |
- |
28,93 |
31/mrt/2026 |
9,86 |
-19,16 |
11,84 |
8,05 |
9,98 |
31/dec/2025 |
06/feb/2018 |
1.801.559.019,12 |
76,03 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1564329545 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,72 |
8,81 |
8,00 |
1,94 |
- |
2,63 |
31/mrt/2026 |
8,81 |
3,00 |
12,38 |
-13,14 |
0,64 |
31/mrt/2026 |
-2,72 |
-0,43 |
25,95 |
10,10 |
- |
23,52 |
31/mrt/2026 |
9,44 |
-20,07 |
11,03 |
7,95 |
10,63 |
31/dec/2025 |
06/feb/2018 |
135.919.333,35 |
7,79 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1733225004 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,10 |
6,81 |
6,40 |
1,77 |
- |
3,43 |
31/mrt/2026 |
6,81 |
1,52 |
11,09 |
-12,62 |
3,74 |
31/mrt/2026 |
-3,10 |
-1,48 |
20,46 |
9,19 |
- |
31,65 |
31/mrt/2026 |
12,62 |
-18,73 |
9,98 |
6,21 |
8,74 |
31/dec/2025 |
06/feb/2018 |
280.478.688,07 |
80,50 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1564329206 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,38 |
10,80 |
10,22 |
4,10 |
- |
4,90 |
31/mrt/2026 |
10,80 |
5,04 |
15,05 |
-10,54 |
2,07 |
31/mrt/2026 |
-2,38 |
0,14 |
33,91 |
22,27 |
- |
47,70 |
31/mrt/2026 |
10,90 |
-17,90 |
14,03 |
10,17 |
12,66 |
31/dec/2025 |
06/feb/2018 |
8.597.564,63 |
15,54 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1564329388 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,34 |
10,95 |
10,25 |
4,12 |
- |
4,84 |
31/mrt/2026 |
10,95 |
4,90 |
15,13 |
-10,57 |
2,09 |
31/mrt/2026 |
-2,34 |
0,23 |
34,00 |
22,34 |
- |
47,00 |
31/mrt/2026 |
10,86 |
-17,86 |
14,05 |
10,07 |
12,76 |
31/dec/2025 |
06/feb/2018 |
140.458.383,15 |
8,79 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1564329115 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,49 |
10,10 |
9,45 |
3,34 |
- |
4,12 |
31/mrt/2026 |
10,10 |
4,11 |
14,37 |
-11,30 |
1,37 |
31/mrt/2026 |
-2,49 |
-0,22 |
31,10 |
17,87 |
- |
38,97 |
31/mrt/2026 |
9,99 |
-18,55 |
13,19 |
9,45 |
11,75 |
31/dec/2025 |
06/feb/2018 |
1.221.284.078,63 |
8,21 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1733224965 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,58 |
9,49 |
8,83 |
2,48 |
- |
2,75 |
31/mrt/2026 |
9,49 |
3,89 |
13,34 |
-13,15 |
0,93 |
31/mrt/2026 |
-2,58 |
-0,39 |
28,91 |
13,01 |
- |
24,76 |
31/mrt/2026 |
9,62 |
-20,12 |
11,99 |
8,88 |
11,42 |
31/dec/2025 |
06/feb/2018 |
95.114.140,71 |
7,35 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1564329032 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,46 |
10,06 |
9,42 |
3,35 |
- |
4,12 |
31/mrt/2026 |
10,06 |
4,21 |
14,23 |
-11,21 |
1,36 |
31/mrt/2026 |
-2,46 |
-0,22 |
31,01 |
17,90 |
- |
39,00 |
31/mrt/2026 |
10,01 |
-18,51 |
13,20 |
9,35 |
11,76 |
31/dec/2025 |
06/feb/2018 |
89.186.896,01 |
14,61 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| IUQD |
USD |
IE00BF2QSQ20 |
iShares Edge MSCI USA Quality Factor UCITS ETF |
iShares IV plc |
-3,26 |
13,21 |
16,66 |
10,62 |
- |
12,11 |
31/mrt/2026 |
13,21 |
4,95 |
33,65 |
-6,39 |
11,45 |
31/mrt/2026 |
-3,26 |
-0,87 |
58,79 |
65,66 |
- |
152,54 |
31/mrt/2026 |
26,58 |
-20,59 |
30,47 |
21,96 |
12,52 |
31/dec/2025 |
21/feb/2018 |
344.445.198,57 |
2.490,67 |
- |
2.117,63 |
01/mei/2026 |
Distributie |
| IFSD |
EUR |
IE00BG13YL86 |
iShares STOXX Europe Equity Multifactor UCITS ETF |
iShares IV plc |
1,99 |
17,02 |
15,47 |
10,62 |
- |
8,82 |
31/mrt/2026 |
17,02 |
9,38 |
20,28 |
-2,24 |
10,08 |
31/mrt/2026 |
1,99 |
9,53 |
53,94 |
65,66 |
- |
98,36 |
31/mrt/2026 |
27,38 |
-16,09 |
19,84 |
14,76 |
20,64 |
31/dec/2025 |
23/feb/2018 |
191.495.200,58 |
8,42 |
- |
777,31 |
01/mei/2026 |
Distributie |
| IUVD |
USD |
IE00BFF5RX68 |
iShares Edge MSCI USA Value Factor UCITS ETF |
iShares IV plc |
4,46 |
35,84 |
17,80 |
9,20 |
- |
9,20 |
31/mrt/2026 |
35,84 |
0,60 |
19,62 |
-8,98 |
4,35 |
31/mrt/2026 |
4,46 |
14,67 |
63,46 |
55,26 |
- |
104,12 |
31/mrt/2026 |
28,43 |
-14,56 |
13,71 |
6,69 |
32,03 |
31/dec/2025 |
21/feb/2018 |
383.362.661,87 |
10,17 |
- |
4.965,10 |
01/mei/2026 |
Distributie |
| IUMD |
USD |
IE00BFF5RZ82 |
iShares Edge MSCI USA Momentum Factor UCITS ETF |
iShares IV plc |
-4,50 |
14,35 |
18,98 |
8,35 |
- |
10,45 |
31/mrt/2026 |
14,35 |
7,53 |
36,97 |
-15,06 |
4,40 |
31/mrt/2026 |
-4,50 |
-5,91 |
68,43 |
49,36 |
- |
123,69 |
31/mrt/2026 |
12,51 |
-17,78 |
9,00 |
31,91 |
17,33 |
31/dec/2025 |
21/feb/2018 |
13.809.514,78 |
12,62 |
- |
541,91 |
01/mei/2026 |
Distributie |
| SPMD |
USD |
IE00BD93YH54 |
iShares Edge S&P 500 Minimum Volatility UCITS ETF |
iShares VI plc |
-3,57 |
4,69 |
11,10 |
8,24 |
- |
9,58 |
31/mrt/2026 |
4,69 |
11,05 |
17,94 |
-6,40 |
15,79 |
31/mrt/2026 |
-3,57 |
-1,88 |
37,12 |
48,60 |
- |
109,89 |
31/mrt/2026 |
23,87 |
-11,07 |
9,82 |
18,42 |
11,26 |
31/dec/2025 |
21/feb/2018 |
115.413.905,17 |
9,66 |
- |
1.794,90 |
01/mei/2026 |
Distributie |
| UFSD |
USD |
IE00BG13YZ23 |
iShares STOXX USA Equity Multifactor UCITS ETF |
iShares IV plc |
-4,36 |
16,79 |
15,54 |
9,29 |
- |
9,58 |
31/mrt/2026 |
16,79 |
6,92 |
23,51 |
-8,44 |
10,43 |
31/mrt/2026 |
-4,36 |
-2,75 |
54,24 |
55,95 |
- |
109,99 |
31/mrt/2026 |
24,39 |
-16,04 |
16,99 |
22,03 |
17,96 |
31/dec/2025 |
21/feb/2018 |
1.905.748,33 |
10,56 |
- |
100,87 |
01/mei/2026 |
Distributie |
| IWVU |
USD |
IE00BFYTYS33 |
iShares Edge MSCI World Value Factor UCITS ETF |
iShares IV plc |
3,07 |
34,81 |
19,68 |
11,50 |
- |
8,19 |
31/mrt/2026 |
34,81 |
5,32 |
20,75 |
-3,73 |
4,40 |
31/mrt/2026 |
3,07 |
12,81 |
71,44 |
72,30 |
- |
89,28 |
31/mrt/2026 |
20,03 |
-9,96 |
19,41 |
5,25 |
39,63 |
31/dec/2025 |
23/feb/2018 |
352.041.488,15 |
8,75 |
- |
6.899,84 |
01/mei/2026 |
Distributie |
| IEMD |
EUR |
IE00BG13YJ64 |
iShares Edge MSCI Europe Momentum Factor UCITS ETF |
iShares IV plc |
-2,09 |
15,37 |
17,01 |
10,58 |
- |
10,69 |
31/mrt/2026 |
15,37 |
13,38 |
22,46 |
-2,60 |
6,00 |
31/mrt/2026 |
-2,09 |
2,74 |
60,19 |
65,38 |
- |
127,77 |
31/mrt/2026 |
22,33 |
-15,32 |
13,40 |
20,43 |
26,63 |
31/dec/2025 |
23/feb/2018 |
46.960.133,78 |
10,25 |
- |
822,84 |
01/mei/2026 |
Distributie |
| IEQD |
EUR |
IE00BG13YG34 |
iShares Edge MSCI Europe Quality Factor UCITS ETF |
iShares IV plc |
-1,72 |
4,38 |
6,16 |
6,21 |
- |
7,77 |
31/mrt/2026 |
4,38 |
1,85 |
12,53 |
1,25 |
11,58 |
31/mrt/2026 |
-1,72 |
2,78 |
19,63 |
35,15 |
- |
83,36 |
31/mrt/2026 |
26,71 |
-12,11 |
15,14 |
4,35 |
9,61 |
31/dec/2025 |
23/feb/2018 |
28.861.088,57 |
7,86 |
- |
740,99 |
01/mei/2026 |
Distributie |
| IEDL |
EUR |
IE00BG13YH41 |
iShares Edge MSCI Europe Value Factor UCITS ETF |
iShares IV plc |
2,01 |
25,72 |
17,40 |
13,18 |
- |
9,34 |
31/mrt/2026 |
25,72 |
14,39 |
12,52 |
3,50 |
10,90 |
31/mrt/2026 |
2,01 |
13,30 |
61,82 |
85,74 |
- |
106,21 |
31/mrt/2026 |
27,38 |
-4,73 |
14,45 |
10,48 |
35,01 |
31/dec/2025 |
23/feb/2018 |
101.085.481,86 |
8,18 |
- |
2.619,00 |
01/mei/2026 |
Distributie |
| MVED |
EUR |
IE00BG13YK79 |
iShares Edge MSCI Europe Minimum Volatility UCITS ETF |
iShares VI plc |
3,79 |
8,23 |
10,38 |
8,10 |
- |
7,31 |
31/mrt/2026 |
8,23 |
14,04 |
8,97 |
-0,99 |
10,83 |
31/mrt/2026 |
3,79 |
7,19 |
34,50 |
47,60 |
- |
77,16 |
31/mrt/2026 |
21,61 |
-13,25 |
11,50 |
11,72 |
11,87 |
31/dec/2025 |
23/feb/2018 |
27.598.151,67 |
7,24 |
- |
821,78 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1728556959 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,51 |
2,89 |
3,80 |
-6,34 |
- |
-2,97 |
31/mrt/2026 |
2,89 |
8,86 |
-0,14 |
-10,13 |
-28,31 |
31/mrt/2026 |
-1,51 |
-1,01 |
11,84 |
-27,94 |
- |
-21,60 |
31/mrt/2026 |
-18,89 |
-21,71 |
-5,17 |
12,42 |
7,28 |
31/dec/2025 |
07/mrt/2018 |
10.142.226,20 |
8,01 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1728557684 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
2,76 |
3,76 |
-6,34 |
- |
-2,99 |
31/mrt/2026 |
2,76 |
9,03 |
-0,29 |
-10,06 |
-28,27 |
31/mrt/2026 |
-1,59 |
-0,99 |
11,71 |
-27,94 |
- |
-21,73 |
31/mrt/2026 |
-18,80 |
-21,83 |
-5,22 |
12,61 |
7,28 |
31/dec/2025 |
07/mrt/2018 |
4.006.515,34 |
4,65 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1728558575 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
2,65 |
6,83 |
3,18 |
- |
4,58 |
31/mrt/2026 |
2,65 |
3,56 |
14,70 |
-10,08 |
6,68 |
31/mrt/2026 |
-0,97 |
1,20 |
21,92 |
16,95 |
- |
43,50 |
31/mrt/2026 |
18,43 |
-14,01 |
8,83 |
16,08 |
-1,63 |
31/dec/2025 |
07/mrt/2018 |
2.296.527,24 |
14,88 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1728556793 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
0,69 |
-1,36 |
3,85 |
-3,99 |
- |
0,22 |
31/mrt/2026 |
-1,36 |
10,61 |
2,64 |
-5,21 |
-23,16 |
31/mrt/2026 |
0,69 |
1,70 |
11,99 |
-18,43 |
- |
1,80 |
31/mrt/2026 |
-11,25 |
-14,27 |
-6,46 |
22,13 |
-3,07 |
31/dec/2025 |
07/mrt/2018 |
9.273.374,55 |
10,27 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1728558732 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,23 |
6,82 |
6,64 |
0,58 |
- |
1,21 |
31/mrt/2026 |
6,82 |
1,90 |
11,41 |
-14,80 |
-0,37 |
31/mrt/2026 |
-3,23 |
-1,64 |
21,27 |
2,94 |
- |
10,19 |
31/mrt/2026 |
8,46 |
-21,41 |
9,78 |
7,04 |
8,72 |
31/dec/2025 |
07/mrt/2018 |
6.258.250,10 |
6,92 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1728558658 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,25 |
6,78 |
6,62 |
0,59 |
- |
1,22 |
31/mrt/2026 |
6,78 |
1,97 |
11,32 |
-14,79 |
-0,28 |
31/mrt/2026 |
-3,25 |
-1,61 |
21,21 |
2,99 |
- |
10,30 |
31/mrt/2026 |
8,50 |
-21,48 |
9,87 |
6,94 |
8,78 |
31/dec/2025 |
07/mrt/2018 |
3.934.092,33 |
11,57 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1728553774 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,04 |
3,83 |
5,19 |
4,55 |
- |
8,09 |
31/mrt/2026 |
3,83 |
-1,40 |
13,69 |
-3,17 |
10,87 |
31/mrt/2026 |
-5,04 |
5,85 |
16,39 |
24,95 |
- |
87,55 |
31/mrt/2026 |
15,05 |
-4,53 |
2,98 |
2,72 |
13,94 |
31/dec/2025 |
28/feb/2018 |
17.734.410,09 |
18,22 |
- |
12.297,89 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1781817850 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,89 |
15,67 |
2,35 |
-3,31 |
- |
1,68 |
31/mrt/2026 |
15,67 |
14,60 |
-19,12 |
-11,45 |
-11,00 |
31/mrt/2026 |
-1,89 |
-1,21 |
7,22 |
-15,51 |
- |
14,40 |
31/mrt/2026 |
0,14 |
-27,96 |
-15,25 |
13,32 |
20,21 |
31/dec/2025 |
28/feb/2018 |
26.054.023,79 |
12,59 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1786037447 |
BSF Emerging Markets Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,80 |
8,09 |
8,90 |
2,84 |
- |
2,51 |
31/mrt/2026 |
8,09 |
6,92 |
11,76 |
-3,71 |
-7,52 |
31/mrt/2026 |
-0,80 |
2,84 |
29,15 |
15,01 |
- |
22,06 |
31/mrt/2026 |
-2,56 |
-9,30 |
9,37 |
8,78 |
10,89 |
31/dec/2025 |
14/mrt/2018 |
- |
89,19 |
- |
378,20 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1786037793 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-5,12 |
10,20 |
6,27 |
2,61 |
- |
2,73 |
31/mrt/2026 |
10,20 |
-1,31 |
10,34 |
-10,23 |
5,59 |
31/mrt/2026 |
-5,12 |
-3,04 |
20,00 |
13,74 |
- |
24,20 |
31/mrt/2026 |
15,01 |
-18,29 |
11,60 |
5,47 |
13,14 |
31/dec/2025 |
14/mrt/2018 |
2.550.435,24 |
13,41 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1786037280 |
BSF Emerging Markets Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
1,39 |
3,74 |
8,99 |
5,31 |
- |
5,65 |
31/mrt/2026 |
3,74 |
8,61 |
14,91 |
1,14 |
-1,07 |
31/mrt/2026 |
1,39 |
5,75 |
29,48 |
29,55 |
- |
55,60 |
31/mrt/2026 |
6,36 |
-1,03 |
7,98 |
17,97 |
0,36 |
31/dec/2025 |
14/mrt/2018 |
- |
112,88 |
- |
378,20 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1786037017 |
BSF Emerging Markets Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
1,40 |
3,74 |
8,98 |
5,31 |
- |
5,63 |
31/mrt/2026 |
3,74 |
8,62 |
14,88 |
1,15 |
-1,07 |
31/mrt/2026 |
1,40 |
5,74 |
29,44 |
29,53 |
- |
55,36 |
31/mrt/2026 |
6,37 |
-1,03 |
7,98 |
17,96 |
0,36 |
31/dec/2025 |
14/mrt/2018 |
- |
157,65 |
- |
378,20 |
30/apr/2026 |
Kapitalisatie |
| BTEE |
USD |
IE00BDZVHG35 |
iShares Nasdaq US Biotechnology UCITS ETF |
iShares IV plc |
2,36 |
37,93 |
12,70 |
4,72 |
- |
6,91 |
31/mrt/2026 |
37,93 |
-3,78 |
7,87 |
-0,59 |
-11,52 |
31/mrt/2026 |
2,36 |
19,70 |
43,15 |
25,92 |
- |
71,50 |
31/mrt/2026 |
-0,40 |
-10,53 |
4,22 |
-0,96 |
32,87 |
31/dec/2025 |
05/mrt/2018 |
53.389.771,65 |
8,40 |
- |
869,41 |
01/mei/2026 |
Distributie |
| - |
CZK |
LU1791177113 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
0,32 |
2,69 |
5,79 |
1,54 |
- |
0,61 |
31/mrt/2026 |
2,69 |
-1,02 |
16,48 |
0,83 |
-9,57 |
31/mrt/2026 |
0,32 |
3,12 |
18,39 |
7,95 |
- |
4,98 |
31/mrt/2026 |
-5,99 |
-6,28 |
14,16 |
1,88 |
1,81 |
31/dec/2025 |
28/mrt/2018 |
0,00 |
578,11 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
CZK |
LU1791174284 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
0,09 |
-0,73 |
3,93 |
-3,52 |
- |
-1,11 |
31/mrt/2026 |
-0,73 |
0,23 |
12,83 |
-13,79 |
-13,61 |
31/mrt/2026 |
0,09 |
-0,15 |
12,26 |
-16,40 |
- |
-8,53 |
31/mrt/2026 |
-8,93 |
-19,65 |
9,86 |
3,80 |
-2,45 |
31/dec/2025 |
28/mrt/2018 |
18.932.134,96 |
672,20 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1791173633 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,13 |
8,73 |
7,89 |
3,00 |
- |
3,44 |
31/mrt/2026 |
8,73 |
5,42 |
9,56 |
-7,74 |
0,07 |
31/mrt/2026 |
-1,13 |
0,79 |
25,59 |
15,95 |
- |
31,26 |
31/mrt/2026 |
6,39 |
-13,65 |
9,71 |
6,75 |
11,17 |
31/dec/2025 |
14/mrt/2018 |
1.925.307,66 |
8,56 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
CZK |
LU1791183517 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
1,57 |
18,27 |
7,99 |
-3,34 |
- |
3,37 |
31/mrt/2026 |
18,27 |
-5,81 |
13,06 |
-14,16 |
-21,95 |
31/mrt/2026 |
1,57 |
6,26 |
25,94 |
-15,63 |
- |
30,34 |
31/mrt/2026 |
-0,68 |
-25,85 |
7,24 |
5,56 |
9,23 |
31/dec/2025 |
28/mrt/2018 |
49.318.044,39 |
1.146,27 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
CZK |
LU1791181735 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
1,61 |
1,59 |
11,02 |
2,41 |
- |
3,52 |
31/mrt/2026 |
1,59 |
5,60 |
27,54 |
-11,77 |
-6,67 |
31/mrt/2026 |
1,61 |
4,87 |
36,82 |
12,66 |
- |
31,87 |
31/mrt/2026 |
-0,58 |
-14,28 |
13,99 |
17,39 |
-2,68 |
31/dec/2025 |
28/mrt/2018 |
816.672,43 |
494,49 |
- |
1.542,97 |
30/apr/2026 |
Kapitalisatie |
| - |
CZK |
LU1791174102 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
2,42 |
-4,35 |
2,69 |
-1,36 |
- |
1,77 |
31/mrt/2026 |
-4,35 |
2,66 |
10,28 |
-7,99 |
-6,28 |
31/mrt/2026 |
2,42 |
2,80 |
8,29 |
-6,62 |
- |
15,04 |
31/mrt/2026 |
0,46 |
-11,99 |
3,79 |
9,88 |
-8,95 |
31/dec/2025 |
28/mrt/2018 |
460.474,80 |
732,47 |
- |
530,12 |
30/apr/2026 |
Kapitalisatie |
| - |
CZK |
LU1791176222 |
BGF Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
0,16 |
-0,26 |
5,51 |
-1,89 |
- |
0,01 |
31/mrt/2026 |
-0,26 |
2,29 |
15,13 |
-11,67 |
-12,36 |
31/mrt/2026 |
0,16 |
-0,15 |
17,46 |
-9,08 |
- |
0,12 |
31/mrt/2026 |
-7,04 |
-17,17 |
11,41 |
5,83 |
-1,26 |
31/dec/2025 |
28/mrt/2018 |
2.972.723,46 |
421,43 |
- |
2.050,30 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1791183350 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-1,40 |
2,28 |
1,93 |
-3,48 |
- |
-0,19 |
31/mrt/2026 |
2,28 |
-1,83 |
5,48 |
-30,49 |
13,78 |
31/mrt/2026 |
-1,40 |
-2,67 |
5,91 |
-16,24 |
- |
-1,50 |
31/mrt/2026 |
26,16 |
-31,94 |
7,43 |
-4,45 |
3,31 |
31/dec/2025 |
28/mrt/2018 |
224.274,48 |
10,63 |
- |
199,52 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU1791806182 |
BGF Euro-Markets Fund |
BlackRock (Luxembourg) S.A. |
-5,40 |
5,34 |
8,50 |
7,46 |
- |
8,23 |
31/mrt/2026 |
5,34 |
2,31 |
18,52 |
5,43 |
6,42 |
31/mrt/2026 |
-5,40 |
-3,32 |
27,73 |
43,31 |
- |
88,15 |
31/mrt/2026 |
28,24 |
-17,18 |
16,56 |
13,61 |
14,99 |
31/dec/2025 |
04/apr/2018 |
12.497.089,26 |
199,62 |
- |
1.289,97 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU1791807156 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-13,39 |
23,01 |
27,32 |
11,14 |
- |
10,21 |
31/mrt/2026 |
23,01 |
16,09 |
44,53 |
-13,55 |
-4,95 |
31/mrt/2026 |
-13,39 |
-5,61 |
106,41 |
69,60 |
- |
117,49 |
31/mrt/2026 |
15,93 |
-20,07 |
26,32 |
29,43 |
41,65 |
31/dec/2025 |
04/apr/2018 |
87.301.290,21 |
237,98 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1800013283 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
0,13 |
2,27 |
6,83 |
3,26 |
- |
3,02 |
31/mrt/2026 |
2,27 |
3,89 |
14,76 |
-0,04 |
-3,68 |
31/mrt/2026 |
0,13 |
3,97 |
21,93 |
17,40 |
- |
26,76 |
31/mrt/2026 |
-4,38 |
-0,64 |
11,53 |
9,81 |
-0,65 |
31/dec/2025 |
11/apr/2018 |
- |
82,09 |
- |
1.287,30 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU1800012988 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,63 |
5,15 |
4,82 |
-0,34 |
- |
0,76 |
31/mrt/2026 |
5,15 |
0,00 |
9,54 |
-14,79 |
0,19 |
31/mrt/2026 |
-3,63 |
-2,39 |
15,18 |
-1,67 |
- |
6,20 |
31/mrt/2026 |
8,72 |
-21,10 |
8,29 |
5,10 |
6,99 |
31/dec/2025 |
18/apr/2018 |
308.849,11 |
11,13 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1800013010 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,43 |
5,92 |
5,60 |
0,41 |
- |
1,52 |
31/mrt/2026 |
5,92 |
0,76 |
10,34 |
-14,09 |
0,91 |
31/mrt/2026 |
-3,43 |
-2,09 |
17,76 |
2,08 |
- |
12,70 |
31/mrt/2026 |
9,56 |
-20,59 |
9,18 |
5,87 |
7,76 |
31/dec/2025 |
18/apr/2018 |
5.730,79 |
11,82 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1811365615 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,70 |
3,89 |
8,17 |
4,48 |
- |
5,90 |
31/mrt/2026 |
3,89 |
4,94 |
16,11 |
-8,99 |
8,07 |
31/mrt/2026 |
-0,70 |
1,91 |
26,58 |
24,49 |
- |
57,56 |
31/mrt/2026 |
19,96 |
-12,89 |
10,10 |
17,53 |
-0,31 |
31/dec/2025 |
25/apr/2018 |
393.161,68 |
13,29 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1811365888 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,91 |
8,14 |
7,97 |
1,85 |
- |
2,71 |
31/mrt/2026 |
8,14 |
3,25 |
12,73 |
-13,71 |
0,89 |
31/mrt/2026 |
-2,91 |
-0,96 |
25,86 |
9,57 |
- |
23,60 |
31/mrt/2026 |
9,83 |
-20,46 |
11,15 |
8,34 |
10,12 |
31/dec/2025 |
25/apr/2018 |
588.353,27 |
12,98 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1814255391 |
BSF Emerging Markets Flexi Dynamic Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,20 |
6,20 |
6,48 |
0,62 |
- |
0,28 |
31/mrt/2026 |
6,20 |
1,98 |
11,45 |
-5,00 |
-10,07 |
31/mrt/2026 |
-2,20 |
0,89 |
20,71 |
3,13 |
- |
2,24 |
31/mrt/2026 |
-12,49 |
-9,06 |
12,72 |
1,02 |
9,55 |
31/dec/2025 |
02/mei/2018 |
- |
69,19 |
- |
1.287,30 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1814255474 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,74 |
4,26 |
4,86 |
0,48 |
- |
1,86 |
31/mrt/2026 |
4,26 |
5,25 |
5,07 |
-6,26 |
-5,22 |
31/mrt/2026 |
-0,74 |
0,15 |
15,30 |
2,44 |
- |
15,66 |
31/mrt/2026 |
-1,84 |
-15,44 |
8,50 |
3,44 |
7,00 |
31/dec/2025 |
02/mei/2018 |
3.468,30 |
9,37 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1811366001 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,01 |
7,99 |
8,00 |
2,24 |
- |
3,23 |
31/mrt/2026 |
7,99 |
2,80 |
13,49 |
-12,11 |
0,87 |
31/mrt/2026 |
-3,01 |
-1,20 |
25,99 |
11,70 |
- |
28,54 |
31/mrt/2026 |
9,67 |
-19,26 |
12,24 |
8,28 |
9,81 |
31/dec/2025 |
09/mei/2018 |
39.427.093,37 |
7,67 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1811365961 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,01 |
7,85 |
8,34 |
2,39 |
- |
3,32 |
31/mrt/2026 |
7,85 |
3,70 |
13,70 |
-12,50 |
1,13 |
31/mrt/2026 |
-3,01 |
-1,08 |
27,16 |
12,52 |
- |
29,40 |
31/mrt/2026 |
9,75 |
-19,51 |
12,50 |
8,84 |
10,04 |
31/dec/2025 |
09/mei/2018 |
21.443.411,06 |
8,16 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
USD |
IE00BFZP7V49 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,28 |
21,59 |
18,99 |
11,79 |
- |
12,99 |
31/mrt/2026 |
21,59 |
5,35 |
31,51 |
-10,44 |
15,70 |
31/mrt/2026 |
-6,28 |
-1,41 |
68,46 |
74,55 |
- |
159,91 |
31/mrt/2026 |
30,10 |
-20,55 |
26,59 |
26,24 |
20,53 |
31/dec/2025 |
04/jun/2018 |
687.368.112,23 |
292,14 |
292,14 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
IE00BFZP7W55 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,32 |
15,91 |
14,14 |
7,83 |
- |
9,40 |
31/mrt/2026 |
15,91 |
1,36 |
26,55 |
-14,43 |
14,57 |
31/mrt/2026 |
-7,32 |
-3,60 |
48,68 |
45,76 |
- |
101,91 |
31/mrt/2026 |
28,67 |
-23,34 |
21,35 |
21,62 |
15,19 |
31/dec/2025 |
04/jun/2018 |
492.937,18 |
226,31 |
226,31 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE00BFZP7X62 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,82 |
18,42 |
16,62 |
9,32 |
- |
10,47 |
31/mrt/2026 |
18,42 |
3,75 |
29,10 |
-14,03 |
14,49 |
31/mrt/2026 |
-6,82 |
-2,51 |
58,62 |
56,12 |
- |
117,91 |
31/mrt/2026 |
29,14 |
-23,43 |
23,52 |
24,32 |
17,74 |
31/dec/2025 |
04/jun/2018 |
264.192.216,44 |
244,38 |
244,38 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1822773807 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,02 |
51,30 |
6,98 |
3,10 |
- |
8,28 |
31/mrt/2026 |
51,30 |
-16,23 |
-3,41 |
-3,11 |
-1,81 |
31/mrt/2026 |
6,02 |
12,95 |
22,43 |
16,47 |
- |
86,70 |
31/mrt/2026 |
14,50 |
-21,59 |
9,59 |
-10,72 |
29,77 |
31/dec/2025 |
23/mei/2018 |
39.607.843,57 |
20,73 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1822773716 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,68 |
23,75 |
19,13 |
3,76 |
- |
12,65 |
31/mrt/2026 |
23,75 |
-2,88 |
40,68 |
-22,60 |
-8,12 |
31/mrt/2026 |
-9,68 |
-10,31 |
69,08 |
20,25 |
- |
154,80 |
31/mrt/2026 |
6,93 |
-45,42 |
46,02 |
30,55 |
15,62 |
31/dec/2025 |
23/mei/2018 |
70.777.638,48 |
32,24 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1822774284 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,74 |
0,48 |
2,12 |
1,52 |
- |
4,97 |
31/mrt/2026 |
0,48 |
-3,96 |
10,35 |
-6,98 |
8,86 |
31/mrt/2026 |
-5,74 |
4,28 |
6,49 |
7,82 |
- |
46,10 |
31/mrt/2026 |
13,09 |
-7,78 |
-0,57 |
0,14 |
10,40 |
31/dec/2025 |
06/jun/2018 |
96.741.759,77 |
14,39 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1817795948 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,59 |
5,61 |
3,82 |
-1,79 |
- |
-0,78 |
31/mrt/2026 |
5,61 |
0,56 |
5,35 |
-7,68 |
-11,55 |
31/mrt/2026 |
-3,59 |
-1,26 |
11,89 |
-8,64 |
- |
-5,90 |
31/mrt/2026 |
-13,99 |
-14,61 |
8,37 |
-1,90 |
11,42 |
31/dec/2025 |
09/jul/2018 |
4.784,74 |
9,63 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817795278 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,22 |
4,88 |
6,33 |
-0,62 |
- |
0,67 |
31/mrt/2026 |
4,88 |
3,83 |
10,39 |
-12,57 |
-7,73 |
31/mrt/2026 |
-3,22 |
-0,57 |
20,21 |
-3,04 |
- |
5,30 |
31/mrt/2026 |
-4,21 |
-20,33 |
8,74 |
4,86 |
9,68 |
31/dec/2025 |
09/jul/2018 |
1.802.314,29 |
10,83 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817796243 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-2,54 |
1,37 |
4,29 |
-1,01 |
- |
0,48 |
31/mrt/2026 |
1,37 |
5,03 |
6,56 |
-10,12 |
-6,78 |
31/mrt/2026 |
-2,54 |
-2,08 |
13,44 |
-4,94 |
- |
3,80 |
31/mrt/2026 |
-2,94 |
-15,40 |
3,68 |
5,22 |
5,76 |
31/dec/2025 |
09/jul/2018 |
30.568,83 |
10,59 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1817796086 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-1,89 |
4,34 |
7,13 |
1,72 |
- |
3,42 |
31/mrt/2026 |
4,34 |
7,71 |
9,38 |
-6,64 |
-5,12 |
31/mrt/2026 |
-1,89 |
-0,77 |
22,94 |
8,90 |
- |
29,70 |
31/mrt/2026 |
-1,39 |
-12,45 |
6,82 |
7,72 |
8,90 |
31/dec/2025 |
09/jul/2018 |
3.371.492,79 |
13,25 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817795781 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,24 |
7,05 |
5,33 |
-1,21 |
- |
-0,57 |
31/mrt/2026 |
7,05 |
2,17 |
6,84 |
-8,08 |
-12,39 |
31/mrt/2026 |
-3,24 |
-0,52 |
16,85 |
-5,90 |
- |
-4,30 |
31/mrt/2026 |
-14,43 |
-15,60 |
9,74 |
-0,34 |
12,90 |
31/dec/2025 |
09/jul/2018 |
458.427,08 |
9,81 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1817795518 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,55 |
10,56 |
8,50 |
1,90 |
- |
2,66 |
31/mrt/2026 |
10,56 |
5,02 |
10,01 |
-4,00 |
-10,40 |
31/mrt/2026 |
-2,55 |
0,99 |
27,74 |
9,87 |
- |
22,50 |
31/mrt/2026 |
-12,88 |
-11,94 |
13,46 |
2,28 |
16,60 |
31/dec/2025 |
09/jul/2018 |
8.718,18 |
12,58 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1817794974 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,65 |
8,00 |
9,20 |
2,24 |
- |
3,69 |
31/mrt/2026 |
8,00 |
6,34 |
13,39 |
-8,72 |
-6,00 |
31/mrt/2026 |
-2,65 |
0,76 |
30,22 |
11,74 |
- |
32,30 |
31/mrt/2026 |
-2,58 |
-17,16 |
12,21 |
7,31 |
12,97 |
31/dec/2025 |
09/jul/2018 |
2.679.400,42 |
13,64 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817795864 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,06 |
7,86 |
6,18 |
-0,45 |
- |
0,19 |
31/mrt/2026 |
7,86 |
3,07 |
7,67 |
-7,42 |
-11,75 |
31/mrt/2026 |
-3,06 |
-0,10 |
19,69 |
-2,22 |
- |
1,50 |
31/mrt/2026 |
-13,73 |
-14,89 |
10,49 |
0,44 |
13,80 |
31/dec/2025 |
09/jul/2018 |
30.894,59 |
10,40 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817795351 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,08 |
5,56 |
6,94 |
-0,02 |
- |
1,27 |
31/mrt/2026 |
5,56 |
4,50 |
10,88 |
-11,93 |
-7,25 |
31/mrt/2026 |
-3,08 |
-0,27 |
22,31 |
-0,09 |
- |
10,20 |
31/mrt/2026 |
-3,55 |
-19,91 |
9,29 |
5,53 |
10,39 |
31/dec/2025 |
09/jul/2018 |
2.340.026,15 |
11,33 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1817795435 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,59 |
3,34 |
4,53 |
-1,43 |
- |
0,26 |
31/mrt/2026 |
3,34 |
1,75 |
8,62 |
-12,28 |
-7,12 |
31/mrt/2026 |
-3,59 |
-1,45 |
14,22 |
-6,93 |
- |
2,00 |
31/mrt/2026 |
-3,91 |
-19,64 |
7,21 |
2,94 |
7,96 |
31/dec/2025 |
09/jul/2018 |
30.805.946,15 |
10,47 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817794628 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,20 |
10,15 |
4,80 |
0,91 |
- |
-0,03 |
31/mrt/2026 |
10,15 |
0,33 |
4,15 |
0,58 |
-9,64 |
31/mrt/2026 |
-3,20 |
-0,40 |
15,11 |
4,61 |
- |
-0,20 |
31/mrt/2026 |
-9,66 |
-11,34 |
13,89 |
-7,27 |
18,92 |
31/dec/2025 |
09/jul/2018 |
1.185.596,85 |
10,28 |
- |
652,06 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1817794891 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,65 |
7,94 |
2,50 |
-0,47 |
- |
-1,02 |
31/mrt/2026 |
7,94 |
-2,17 |
1,98 |
0,35 |
-9,62 |
31/mrt/2026 |
-3,65 |
-1,49 |
7,69 |
-2,33 |
- |
-7,60 |
31/mrt/2026 |
-9,93 |
-11,03 |
11,78 |
-9,44 |
16,24 |
31/dec/2025 |
09/jul/2018 |
4.722,28 |
9,50 |
- |
652,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817796326 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-2,32 |
2,05 |
5,00 |
-0,34 |
- |
1,18 |
31/mrt/2026 |
2,05 |
5,82 |
7,19 |
-9,56 |
-6,10 |
31/mrt/2026 |
-2,32 |
-1,71 |
15,75 |
-1,71 |
- |
9,50 |
31/mrt/2026 |
-2,19 |
-14,92 |
4,41 |
5,94 |
6,46 |
31/dec/2025 |
09/jul/2018 |
368.698,69 |
11,17 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1817796599 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-2,89 |
-0,10 |
2,61 |
-1,80 |
- |
0,12 |
31/mrt/2026 |
-0,10 |
3,06 |
4,93 |
-9,85 |
-6,24 |
31/mrt/2026 |
-2,89 |
-2,89 |
8,03 |
-8,69 |
- |
0,90 |
31/mrt/2026 |
-2,38 |
-14,97 |
2,33 |
3,42 |
4,11 |
31/dec/2025 |
09/jul/2018 |
1.480.330,01 |
10,27 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1817794388 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,58 |
13,12 |
7,26 |
3,38 |
- |
2,47 |
31/mrt/2026 |
13,12 |
2,30 |
6,65 |
4,49 |
-8,41 |
31/mrt/2026 |
-2,58 |
0,84 |
23,42 |
18,10 |
- |
20,70 |
31/mrt/2026 |
-8,58 |
-8,29 |
16,99 |
-5,40 |
21,95 |
31/dec/2025 |
09/jul/2018 |
649.297,37 |
12,45 |
- |
652,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1817794545 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,32 |
9,69 |
4,29 |
0,44 |
- |
-0,50 |
31/mrt/2026 |
9,69 |
-0,11 |
3,54 |
0,36 |
-10,20 |
31/mrt/2026 |
-3,32 |
-0,62 |
13,44 |
2,23 |
- |
-3,80 |
31/mrt/2026 |
-10,08 |
-11,76 |
13,33 |
-7,58 |
18,31 |
31/dec/2025 |
09/jul/2018 |
373.735,15 |
9,90 |
- |
652,06 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1830001282 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,71 |
-0,12 |
1,40 |
-1,74 |
- |
0,39 |
31/mrt/2026 |
-0,12 |
1,84 |
2,50 |
-6,67 |
-5,86 |
31/mrt/2026 |
-1,71 |
-1,73 |
4,26 |
-8,40 |
- |
3,10 |
31/mrt/2026 |
-1,60 |
-14,05 |
5,05 |
0,81 |
2,07 |
31/dec/2025 |
20/jun/2018 |
219.967,97 |
8,11 |
- |
940,52 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1830001522 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,90 |
2,96 |
5,71 |
1,33 |
- |
2,74 |
31/mrt/2026 |
2,96 |
5,03 |
9,23 |
-6,61 |
-3,14 |
31/mrt/2026 |
-1,90 |
-1,34 |
18,12 |
6,85 |
- |
23,37 |
31/mrt/2026 |
2,17 |
-13,45 |
10,16 |
6,23 |
5,36 |
31/dec/2025 |
20/jun/2018 |
8.785.578,89 |
7,61 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| SUOE |
EUR |
IE00BYZTVT56 |
iShares € Corp Bond ESG SRI UCITS ETF |
iShares II plc |
-1,04 |
1,90 |
4,19 |
-0,25 |
- |
0,72 |
31/mrt/2026 |
1,90 |
4,14 |
6,59 |
-7,82 |
-5,31 |
31/mrt/2026 |
-1,04 |
-0,78 |
13,11 |
-1,27 |
- |
5,68 |
31/mrt/2026 |
-1,20 |
-13,65 |
7,83 |
4,53 |
3,00 |
31/dec/2025 |
28/jun/2018 |
4.243.970.544,34 |
4,73 |
- |
5.993,71 |
01/mei/2026 |
Distributie |
| - |
USD |
LU1847653141 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,71 |
5,86 |
6,14 |
2,07 |
- |
3,38 |
31/mrt/2026 |
5,86 |
7,00 |
5,58 |
0,09 |
-7,46 |
31/mrt/2026 |
0,71 |
1,14 |
19,59 |
10,77 |
- |
29,32 |
31/mrt/2026 |
-4,69 |
-5,11 |
4,39 |
9,11 |
6,05 |
31/dec/2025 |
04/jul/2018 |
234.310.572,34 |
8,63 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU1847653224 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,22 |
3,60 |
4,17 |
0,25 |
- |
1,42 |
31/mrt/2026 |
3,60 |
5,24 |
3,67 |
-2,34 |
-8,26 |
31/mrt/2026 |
0,22 |
0,14 |
13,02 |
1,26 |
- |
11,53 |
31/mrt/2026 |
-5,51 |
-7,01 |
2,24 |
7,36 |
3,80 |
31/dec/2025 |
04/jul/2018 |
24.465.491,86 |
7,39 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
SGD |
LU1847653497 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,05 |
3,02 |
4,01 |
0,75 |
- |
2,39 |
31/mrt/2026 |
3,02 |
5,16 |
3,85 |
-0,29 |
-7,46 |
31/mrt/2026 |
-0,05 |
-0,24 |
12,51 |
3,81 |
- |
19,91 |
31/mrt/2026 |
-4,66 |
-5,17 |
2,76 |
7,13 |
3,64 |
31/dec/2025 |
18/jul/2018 |
295.786.926,91 |
7,99 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU1842103985 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,68 |
1,32 |
3,13 |
-0,55 |
- |
-0,07 |
31/mrt/2026 |
1,32 |
2,94 |
5,18 |
-5,52 |
-6,16 |
31/mrt/2026 |
-1,68 |
-1,29 |
9,70 |
-2,74 |
- |
-0,50 |
31/mrt/2026 |
-2,14 |
-9,92 |
4,96 |
2,20 |
3,90 |
31/dec/2025 |
16/jul/2018 |
3.045.936,70 |
10,05 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1842103472 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
4,21 |
5,72 |
1,92 |
- |
2,57 |
31/mrt/2026 |
4,21 |
5,18 |
7,82 |
-2,28 |
-4,78 |
31/mrt/2026 |
-1,08 |
-0,02 |
18,18 |
9,97 |
- |
21,64 |
31/mrt/2026 |
-0,70 |
-7,36 |
8,05 |
4,37 |
6,85 |
31/dec/2025 |
16/jul/2018 |
6.923.137,96 |
8,30 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU1842103712 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,99 |
0,10 |
1,72 |
-1,10 |
- |
-0,20 |
31/mrt/2026 |
0,10 |
1,13 |
3,95 |
-5,07 |
-5,28 |
31/mrt/2026 |
-1,99 |
-1,89 |
5,24 |
-5,38 |
- |
-1,50 |
31/mrt/2026 |
-1,24 |
-9,29 |
3,95 |
0,51 |
2,66 |
31/dec/2025 |
16/jul/2018 |
4.998,53 |
9,94 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1842103803 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,01 |
4,42 |
5,84 |
1,90 |
- |
2,18 |
31/mrt/2026 |
4,42 |
5,50 |
7,63 |
-3,02 |
-4,47 |
31/mrt/2026 |
-1,01 |
0,17 |
18,57 |
9,86 |
- |
18,10 |
31/mrt/2026 |
-0,46 |
-7,74 |
7,58 |
4,60 |
7,09 |
31/dec/2025 |
16/jul/2018 |
909.229,01 |
11,95 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1842103399 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,14 |
4,11 |
5,72 |
1,90 |
- |
2,57 |
31/mrt/2026 |
4,11 |
5,23 |
7,87 |
-2,37 |
-4,79 |
31/mrt/2026 |
-1,14 |
0,00 |
18,17 |
9,85 |
- |
21,60 |
31/mrt/2026 |
-0,72 |
-7,35 |
7,93 |
4,45 |
6,86 |
31/dec/2025 |
16/jul/2018 |
1.717.050,97 |
12,30 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1842103639 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,47 |
2,29 |
4,14 |
0,43 |
- |
0,92 |
31/mrt/2026 |
2,29 |
3,96 |
6,21 |
-4,52 |
-5,24 |
31/mrt/2026 |
-1,47 |
-0,74 |
12,95 |
2,19 |
- |
7,30 |
31/mrt/2026 |
-1,14 |
-9,11 |
6,01 |
3,18 |
5,01 |
31/dec/2025 |
16/jul/2018 |
4.662,85 |
10,84 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1842103555 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,02 |
4,64 |
6,25 |
2,41 |
- |
3,08 |
31/mrt/2026 |
4,64 |
5,78 |
8,36 |
-1,86 |
-4,28 |
31/mrt/2026 |
-1,02 |
0,24 |
19,94 |
12,67 |
- |
26,30 |
31/mrt/2026 |
-0,18 |
-6,87 |
8,43 |
4,95 |
7,41 |
31/dec/2025 |
16/jul/2018 |
14.468.644,34 |
12,78 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
IE00BG1DFJ36 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,41 |
20,75 |
18,35 |
10,73 |
- |
11,58 |
31/mrt/2026 |
20,75 |
5,10 |
30,62 |
-13,08 |
15,51 |
31/mrt/2026 |
-6,41 |
-1,59 |
65,76 |
66,44 |
- |
133,10 |
31/mrt/2026 |
29,77 |
-22,56 |
25,20 |
25,75 |
20,01 |
31/dec/2025 |
10/jul/2018 |
419.638.517,61 |
261,95 |
261,95 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1852330734 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,17 |
3,32 |
3,76 |
1,16 |
- |
3,32 |
31/mrt/2026 |
3,32 |
4,78 |
3,19 |
-0,43 |
-4,76 |
31/mrt/2026 |
0,17 |
0,01 |
11,71 |
5,93 |
- |
28,69 |
31/mrt/2026 |
-2,02 |
-4,33 |
2,02 |
6,37 |
3,87 |
31/dec/2025 |
11/jul/2018 |
923.278.045,75 |
85,66 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
GBP |
LU1852330908 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-2,45 |
12,72 |
8,41 |
5,44 |
- |
7,00 |
31/mrt/2026 |
12,72 |
0,13 |
12,88 |
-1,37 |
3,73 |
31/mrt/2026 |
-2,45 |
1,03 |
27,40 |
30,34 |
- |
68,53 |
31/mrt/2026 |
8,21 |
-5,68 |
7,52 |
11,46 |
10,33 |
31/dec/2025 |
11/jul/2018 |
422.982,11 |
67,40 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1852330817 |
BGF European Fund |
BlackRock (Luxembourg) S.A. |
-5,34 |
2,91 |
3,99 |
3,65 |
- |
7,54 |
31/mrt/2026 |
2,91 |
-6,17 |
16,44 |
-1,54 |
8,06 |
31/mrt/2026 |
-5,34 |
-4,03 |
12,44 |
19,64 |
- |
75,27 |
31/mrt/2026 |
29,93 |
-24,17 |
18,60 |
7,76 |
5,72 |
31/dec/2025 |
11/jul/2018 |
379.100,78 |
189,32 |
- |
1.140,89 |
30/apr/2026 |
Distributie |
| - |
USD |
IE00BDDRH524 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,35 |
21,23 |
18,63 |
11,44 |
- |
12,56 |
31/mrt/2026 |
21,23 |
5,02 |
31,12 |
-10,71 |
15,33 |
31/mrt/2026 |
-6,35 |
-1,56 |
66,93 |
71,91 |
- |
148,10 |
31/mrt/2026 |
29,65 |
-20,80 |
26,21 |
25,85 |
20,17 |
31/dec/2025 |
25/jul/2018 |
62.124.760,14 |
278,80 |
278,80 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU1852331039 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,59 |
5,19 |
5,26 |
1,26 |
- |
2,56 |
31/mrt/2026 |
5,19 |
6,35 |
4,24 |
-1,08 |
-7,71 |
31/mrt/2026 |
0,59 |
0,90 |
16,61 |
6,46 |
- |
21,46 |
31/mrt/2026 |
-4,88 |
-5,88 |
2,87 |
8,12 |
5,52 |
31/dec/2025 |
25/jul/2018 |
154.740.979,85 |
8,13 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
SGD |
LU1852331112 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,82 |
22,97 |
18,78 |
4,35 |
- |
12,98 |
31/mrt/2026 |
22,97 |
-3,31 |
40,94 |
-20,58 |
-7,03 |
31/mrt/2026 |
-9,82 |
-10,61 |
67,59 |
23,74 |
- |
155,40 |
31/mrt/2026 |
7,74 |
-43,97 |
47,16 |
30,41 |
14,66 |
31/dec/2025 |
25/jul/2018 |
670.922.996,37 |
32,33 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1860488060 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,69 |
9,68 |
7,71 |
1,13 |
- |
1,91 |
31/mrt/2026 |
9,68 |
4,25 |
9,30 |
-4,74 |
-11,16 |
31/mrt/2026 |
-2,69 |
0,61 |
24,97 |
5,76 |
- |
15,60 |
31/mrt/2026 |
-13,47 |
-12,65 |
12,69 |
1,48 |
15,68 |
31/dec/2025 |
01/aug/2018 |
29.200,71 |
11,87 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1860487849 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,70 |
7,42 |
8,60 |
1,65 |
- |
3,05 |
31/mrt/2026 |
7,42 |
5,78 |
12,72 |
-9,23 |
-6,64 |
31/mrt/2026 |
-2,70 |
0,56 |
28,08 |
8,53 |
- |
25,90 |
31/mrt/2026 |
-3,21 |
-17,62 |
11,57 |
6,67 |
12,33 |
31/dec/2025 |
01/aug/2018 |
4.179.890,79 |
12,96 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1860487922 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-2,09 |
3,66 |
6,36 |
1,00 |
- |
2,62 |
31/mrt/2026 |
3,66 |
6,91 |
8,59 |
-7,23 |
-5,86 |
31/mrt/2026 |
-2,09 |
-1,06 |
20,34 |
5,09 |
- |
21,90 |
31/mrt/2026 |
-2,01 |
-13,18 |
6,11 |
6,97 |
8,17 |
31/dec/2025 |
01/aug/2018 |
31.493,66 |
12,45 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1860487765 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,68 |
12,58 |
6,71 |
2,86 |
- |
1,99 |
31/mrt/2026 |
12,58 |
1,77 |
6,06 |
4,02 |
-8,91 |
31/mrt/2026 |
-2,68 |
0,61 |
21,53 |
15,15 |
- |
16,30 |
31/mrt/2026 |
-9,05 |
-8,73 |
16,46 |
-5,92 |
21,32 |
31/dec/2025 |
01/aug/2018 |
25.546.149,64 |
11,99 |
- |
652,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1845136925 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-2,07 |
2,35 |
3,16 |
0,02 |
- |
1,12 |
31/mrt/2026 |
2,35 |
2,61 |
4,54 |
-7,38 |
-1,56 |
31/mrt/2026 |
-2,07 |
-1,00 |
9,79 |
0,09 |
- |
8,80 |
31/mrt/2026 |
3,81 |
-12,53 |
5,22 |
3,40 |
4,52 |
31/dec/2025 |
12/sep/2018 |
57.018,29 |
11,18 |
- |
146,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1845137147 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-1,99 |
2,82 |
3,67 |
0,54 |
- |
1,66 |
31/mrt/2026 |
2,82 |
3,19 |
5,02 |
-6,87 |
-1,00 |
31/mrt/2026 |
-1,99 |
-0,79 |
11,42 |
2,72 |
- |
13,20 |
31/mrt/2026 |
4,31 |
-12,13 |
5,80 |
3,97 |
5,00 |
31/dec/2025 |
12/sep/2018 |
5.824,05 |
11,65 |
- |
146,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1845137493 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-2,23 |
1,74 |
2,64 |
-0,47 |
- |
0,65 |
31/mrt/2026 |
1,74 |
2,18 |
4,02 |
-7,87 |
-1,95 |
31/mrt/2026 |
-2,23 |
-1,32 |
8,14 |
-2,33 |
- |
5,00 |
31/mrt/2026 |
3,28 |
-12,99 |
4,80 |
2,89 |
3,97 |
31/dec/2025 |
12/sep/2018 |
22.614.092,75 |
10,79 |
- |
146,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1845137220 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-1,99 |
2,84 |
3,66 |
0,54 |
- |
1,67 |
31/mrt/2026 |
2,84 |
3,18 |
4,97 |
-6,79 |
-1,05 |
31/mrt/2026 |
-1,99 |
-0,71 |
11,39 |
2,74 |
- |
13,31 |
31/mrt/2026 |
4,32 |
-12,15 |
5,82 |
4,01 |
5,06 |
31/dec/2025 |
13/sep/2018 |
5.830,37 |
8,61 |
- |
146,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1845137063 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-2,07 |
2,37 |
3,16 |
0,04 |
- |
1,15 |
31/mrt/2026 |
2,37 |
2,64 |
4,49 |
-7,30 |
-1,52 |
31/mrt/2026 |
-2,07 |
-0,98 |
9,79 |
0,22 |
- |
9,04 |
31/mrt/2026 |
3,82 |
-12,63 |
5,36 |
3,36 |
4,53 |
31/dec/2025 |
13/sep/2018 |
324.588,36 |
8,27 |
- |
146,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1845137576 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-2,20 |
1,90 |
2,66 |
-0,45 |
- |
0,65 |
31/mrt/2026 |
1,90 |
2,06 |
4,03 |
-7,79 |
-2,02 |
31/mrt/2026 |
-2,20 |
-1,27 |
8,19 |
-2,25 |
- |
5,01 |
31/mrt/2026 |
3,24 |
-12,96 |
4,75 |
2,84 |
4,07 |
31/dec/2025 |
13/sep/2018 |
68.757.807,86 |
7,78 |
- |
146,18 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1862385751 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,33 |
22,25 |
8,02 |
-1,91 |
- |
3,05 |
31/mrt/2026 |
22,25 |
6,08 |
-2,81 |
-12,30 |
-17,83 |
31/mrt/2026 |
-4,33 |
-1,33 |
26,05 |
-9,17 |
- |
25,80 |
31/mrt/2026 |
-5,10 |
-24,57 |
0,52 |
7,40 |
27,55 |
31/dec/2025 |
08/aug/2018 |
1.081.945,80 |
14,67 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861214812 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
2,44 |
28,41 |
1,18 |
0,30 |
- |
6,00 |
31/mrt/2026 |
28,41 |
-12,94 |
-7,33 |
-1,25 |
-0,78 |
31/mrt/2026 |
2,44 |
3,67 |
3,60 |
1,50 |
- |
55,50 |
31/mrt/2026 |
20,38 |
-23,83 |
9,82 |
-12,61 |
20,38 |
31/dec/2025 |
04/sep/2018 |
111.290.131,27 |
17,39 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861214903 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
2,67 |
29,48 |
2,03 |
1,12 |
- |
6,89 |
31/mrt/2026 |
29,48 |
-12,22 |
-6,54 |
-0,45 |
0,00 |
31/mrt/2026 |
2,67 |
4,09 |
6,22 |
5,75 |
- |
65,60 |
31/mrt/2026 |
21,51 |
-23,22 |
10,72 |
-11,87 |
21,37 |
31/dec/2025 |
04/sep/2018 |
10.418.248,53 |
18,53 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861215207 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
2,73 |
29,88 |
2,33 |
1,43 |
- |
7,22 |
31/mrt/2026 |
29,88 |
-12,00 |
-6,26 |
-0,13 |
0,32 |
31/mrt/2026 |
2,73 |
4,24 |
7,14 |
7,35 |
- |
69,50 |
31/mrt/2026 |
21,89 |
-23,03 |
11,09 |
-11,55 |
21,68 |
31/dec/2025 |
04/sep/2018 |
9.489,03 |
18,98 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861215389 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
1,76 |
24,90 |
-1,08 |
-2,26 |
- |
3,25 |
31/mrt/2026 |
24,90 |
-14,64 |
-9,19 |
-5,53 |
-2,45 |
31/mrt/2026 |
1,76 |
2,41 |
-3,19 |
-10,78 |
- |
27,40 |
31/mrt/2026 |
19,04 |
-26,98 |
6,87 |
-14,15 |
17,23 |
31/dec/2025 |
04/sep/2018 |
12.533.962,32 |
14,21 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861215462 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
2,03 |
25,91 |
-0,27 |
-1,44 |
- |
4,10 |
31/mrt/2026 |
25,91 |
-13,91 |
-8,49 |
-4,67 |
-1,65 |
31/mrt/2026 |
2,03 |
2,81 |
-0,80 |
-7,00 |
- |
35,60 |
31/mrt/2026 |
20,00 |
-26,37 |
7,79 |
-13,46 |
18,13 |
31/dec/2025 |
04/sep/2018 |
2.627.677,96 |
15,14 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1861215892 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
5,30 |
21,12 |
-1,72 |
1,98 |
- |
6,53 |
31/mrt/2026 |
21,12 |
-17,99 |
-4,42 |
9,45 |
6,13 |
31/mrt/2026 |
5,30 |
4,38 |
-5,06 |
10,28 |
- |
61,43 |
31/mrt/2026 |
33,78 |
-12,72 |
6,13 |
-4,07 |
0,64 |
31/dec/2025 |
04/sep/2018 |
586.584,97 |
161,61 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861215975 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,65 |
50,24 |
20,25 |
-0,17 |
- |
12,65 |
31/mrt/2026 |
50,24 |
-9,84 |
28,37 |
-29,47 |
-19,15 |
31/mrt/2026 |
-2,65 |
2,67 |
73,89 |
-0,85 |
- |
146,40 |
31/mrt/2026 |
1,55 |
-50,76 |
32,56 |
22,94 |
23,64 |
31/dec/2025 |
04/sep/2018 |
819.513.128,26 |
32,57 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1861216940 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
0,10 |
41,68 |
16,82 |
1,51 |
- |
13,21 |
31/mrt/2026 |
41,68 |
-15,03 |
32,43 |
-21,82 |
-13,52 |
31/mrt/2026 |
0,10 |
3,37 |
59,41 |
7,78 |
- |
155,83 |
31/mrt/2026 |
12,76 |
-43,57 |
28,16 |
34,91 |
3,36 |
31/dec/2025 |
04/sep/2018 |
113.700.711,58 |
302,72 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861216197 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,45 |
51,41 |
21,25 |
0,65 |
- |
13,59 |
31/mrt/2026 |
51,41 |
-9,08 |
29,48 |
-28,89 |
-18,50 |
31/mrt/2026 |
-2,45 |
3,06 |
78,26 |
3,31 |
- |
162,40 |
31/mrt/2026 |
2,34 |
-50,36 |
33,72 |
23,95 |
24,65 |
31/dec/2025 |
04/sep/2018 |
122.310.095,68 |
34,71 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861216783 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,47 |
45,50 |
17,51 |
-3,09 |
- |
9,39 |
31/mrt/2026 |
45,50 |
-11,14 |
25,49 |
-33,04 |
-21,32 |
31/mrt/2026 |
-3,47 |
1,08 |
62,25 |
-14,52 |
- |
97,30 |
31/mrt/2026 |
-0,26 |
-53,32 |
28,72 |
20,60 |
20,80 |
31/dec/2025 |
04/sep/2018 |
229.285.256,99 |
26,00 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861217674 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-21,17 |
-0,20 |
7,42 |
-10,39 |
- |
-0,23 |
31/mrt/2026 |
-0,20 |
-7,34 |
34,05 |
-38,29 |
-24,46 |
31/mrt/2026 |
-21,17 |
-30,09 |
23,96 |
-42,21 |
- |
-1,70 |
31/mrt/2026 |
-1,23 |
-43,70 |
14,15 |
13,11 |
12,04 |
31/dec/2025 |
04/sep/2018 |
4.962.611,32 |
10,75 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861217831 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-21,23 |
-0,63 |
6,87 |
-10,83 |
- |
-0,73 |
31/mrt/2026 |
-0,63 |
-7,84 |
33,29 |
-38,59 |
-24,79 |
31/mrt/2026 |
-21,23 |
-30,24 |
22,06 |
-43,62 |
- |
-5,40 |
31/mrt/2026 |
-1,76 |
-43,95 |
13,52 |
12,54 |
11,51 |
31/dec/2025 |
04/sep/2018 |
15.997.672,87 |
10,34 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861216510 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,35 |
46,18 |
18,11 |
-2,60 |
- |
9,93 |
31/mrt/2026 |
46,18 |
-10,65 |
26,15 |
-32,74 |
-20,89 |
31/mrt/2026 |
-3,35 |
1,34 |
64,76 |
-12,33 |
- |
104,80 |
31/mrt/2026 |
0,21 |
-53,08 |
29,38 |
21,18 |
21,43 |
31/dec/2025 |
04/sep/2018 |
120.073.646,61 |
26,99 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU1861218052 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-18,56 |
-3,35 |
6,62 |
-6,39 |
- |
2,98 |
31/mrt/2026 |
-3,35 |
-11,34 |
41,45 |
-28,27 |
-17,35 |
31/mrt/2026 |
-18,56 |
-28,82 |
21,22 |
-28,13 |
- |
24,93 |
31/mrt/2026 |
11,02 |
-32,16 |
13,67 |
26,14 |
-4,02 |
31/dec/2025 |
04/sep/2018 |
407.640,66 |
122,68 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1861215629 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
2,39 |
28,03 |
1,24 |
-0,22 |
- |
5,10 |
31/mrt/2026 |
28,03 |
-12,53 |
-7,34 |
-3,97 |
-0,75 |
31/mrt/2026 |
2,39 |
3,70 |
3,78 |
-1,09 |
- |
45,70 |
31/mrt/2026 |
20,64 |
-25,72 |
9,33 |
-12,31 |
20,39 |
31/dec/2025 |
04/sep/2018 |
3.485.335,19 |
16,30 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861217757 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-21,00 |
0,58 |
8,28 |
-9,65 |
- |
0,60 |
31/mrt/2026 |
0,58 |
-6,47 |
34,95 |
-37,72 |
-23,83 |
31/mrt/2026 |
-21,00 |
-29,80 |
26,94 |
-39,78 |
- |
4,60 |
31/mrt/2026 |
-0,38 |
-43,23 |
15,12 |
14,01 |
12,97 |
31/dec/2025 |
04/sep/2018 |
135.239,08 |
11,46 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1861220207 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-21,32 |
-0,93 |
7,24 |
-9,68 |
- |
0,81 |
31/mrt/2026 |
-0,93 |
-7,50 |
34,57 |
-36,52 |
-23,23 |
31/mrt/2026 |
-21,32 |
-30,34 |
23,32 |
-39,91 |
- |
6,30 |
31/mrt/2026 |
-0,37 |
-41,73 |
14,99 |
13,04 |
11,28 |
31/dec/2025 |
04/sep/2018 |
4.581.242,80 |
11,63 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861216601 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,20 |
47,40 |
19,08 |
-1,79 |
- |
10,84 |
31/mrt/2026 |
47,40 |
-9,93 |
27,19 |
-32,20 |
-20,20 |
31/mrt/2026 |
-3,20 |
1,73 |
68,86 |
-8,63 |
- |
118,00 |
31/mrt/2026 |
1,08 |
-52,69 |
30,42 |
22,19 |
22,46 |
31/dec/2025 |
04/sep/2018 |
9.521.573,87 |
28,76 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1861219969 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
1,64 |
24,11 |
-1,26 |
-1,61 |
- |
4,18 |
31/mrt/2026 |
24,11 |
-14,74 |
-9,03 |
-3,01 |
-1,22 |
31/mrt/2026 |
1,64 |
2,02 |
-3,74 |
-7,78 |
- |
36,40 |
31/mrt/2026 |
20,09 |
-24,97 |
7,62 |
-14,23 |
16,59 |
31/dec/2025 |
04/sep/2018 |
3.734.060,35 |
15,22 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861215546 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
1,66 |
24,32 |
-1,58 |
-2,74 |
- |
2,74 |
31/mrt/2026 |
24,32 |
-15,13 |
-9,63 |
-5,92 |
-2,98 |
31/mrt/2026 |
1,66 |
2,16 |
-4,66 |
-12,98 |
- |
22,70 |
31/mrt/2026 |
18,43 |
-27,36 |
6,41 |
-14,60 |
16,62 |
31/dec/2025 |
04/sep/2018 |
97.216.997,77 |
13,68 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1861220033 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,48 |
45,13 |
17,67 |
-1,99 |
- |
10,91 |
31/mrt/2026 |
45,13 |
-11,13 |
26,34 |
-30,90 |
-19,69 |
31/mrt/2026 |
-3,48 |
1,01 |
62,95 |
-9,58 |
- |
119,00 |
31/mrt/2026 |
1,10 |
-51,64 |
30,13 |
21,10 |
20,18 |
31/dec/2025 |
04/sep/2018 |
71.840.980,70 |
28,89 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861217591 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-20,56 |
3,64 |
10,99 |
-6,90 |
- |
3,63 |
31/mrt/2026 |
3,64 |
-4,82 |
38,62 |
-34,56 |
-21,84 |
31/mrt/2026 |
-20,56 |
-28,92 |
36,74 |
-30,06 |
- |
31,00 |
31/mrt/2026 |
1,06 |
-40,19 |
18,99 |
16,20 |
16,13 |
31/dec/2025 |
04/sep/2018 |
792.818,30 |
14,38 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861217161 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-20,64 |
3,31 |
10,64 |
-7,18 |
- |
3,31 |
31/mrt/2026 |
3,31 |
-5,13 |
38,20 |
-34,74 |
-22,07 |
31/mrt/2026 |
-20,64 |
-29,05 |
35,45 |
-31,11 |
- |
28,00 |
31/mrt/2026 |
0,77 |
-40,35 |
18,54 |
15,89 |
15,79 |
31/dec/2025 |
04/sep/2018 |
26.549.638,24 |
14,06 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861217088 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-20,80 |
2,47 |
9,75 |
-7,95 |
- |
2,47 |
31/mrt/2026 |
2,47 |
-5,93 |
37,14 |
-35,28 |
-22,75 |
31/mrt/2026 |
-20,80 |
-29,32 |
32,20 |
-33,90 |
- |
20,30 |
31/mrt/2026 |
-0,06 |
-40,81 |
17,57 |
14,94 |
14,81 |
31/dec/2025 |
04/sep/2018 |
30.007.392,65 |
13,20 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1861216866 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,76 |
49,81 |
20,79 |
-0,53 |
- |
11,99 |
31/mrt/2026 |
49,81 |
-8,49 |
28,55 |
-31,77 |
-19,00 |
31/mrt/2026 |
-2,76 |
2,70 |
76,23 |
-2,60 |
- |
135,80 |
31/mrt/2026 |
1,80 |
-52,15 |
32,18 |
23,71 |
24,61 |
31/dec/2025 |
04/sep/2018 |
39.385.119,18 |
31,17 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1861217914 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-20,63 |
2,18 |
9,86 |
-8,41 |
- |
1,59 |
31/mrt/2026 |
2,18 |
-5,00 |
36,59 |
-37,18 |
-22,64 |
31/mrt/2026 |
-20,63 |
-29,16 |
32,59 |
-35,56 |
- |
12,70 |
31/mrt/2026 |
0,13 |
-42,44 |
16,68 |
15,61 |
14,79 |
31/dec/2025 |
04/sep/2018 |
2.498.503,76 |
12,37 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861216437 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,36 |
51,87 |
21,61 |
0,97 |
- |
13,93 |
31/mrt/2026 |
51,87 |
-8,77 |
29,81 |
-28,67 |
-18,21 |
31/mrt/2026 |
-2,36 |
3,23 |
79,84 |
4,92 |
- |
168,50 |
31/mrt/2026 |
2,67 |
-50,23 |
34,12 |
24,31 |
25,06 |
31/dec/2025 |
04/sep/2018 |
17.761.126,86 |
35,53 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1864663577 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,79 |
1,27 |
3,12 |
-0,56 |
- |
-0,02 |
31/mrt/2026 |
1,27 |
2,94 |
5,18 |
-5,42 |
-6,23 |
31/mrt/2026 |
-1,79 |
-1,34 |
9,65 |
-2,75 |
- |
-0,14 |
31/mrt/2026 |
-2,10 |
-9,97 |
4,90 |
2,21 |
4,05 |
31/dec/2025 |
22/aug/2018 |
1.768.097,51 |
7,90 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1864663650 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
0,74 |
-1,79 |
4,26 |
2,79 |
- |
3,22 |
31/mrt/2026 |
-1,79 |
5,58 |
9,31 |
0,00 |
1,26 |
31/mrt/2026 |
0,74 |
2,05 |
13,34 |
14,76 |
- |
27,29 |
31/mrt/2026 |
7,86 |
-1,21 |
4,82 |
11,93 |
-4,98 |
31/dec/2025 |
22/aug/2018 |
0,00 |
10,93 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1864664039 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-2,71 |
0,80 |
3,71 |
-1,56 |
- |
0,05 |
31/mrt/2026 |
0,80 |
4,51 |
5,89 |
-10,63 |
-7,27 |
31/mrt/2026 |
-2,71 |
-2,33 |
11,56 |
-7,55 |
- |
0,40 |
31/mrt/2026 |
-3,40 |
-15,91 |
3,08 |
4,59 |
5,31 |
31/dec/2025 |
22/aug/2018 |
4.860.959,50 |
10,24 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1864664112 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-2,65 |
0,75 |
3,72 |
-1,56 |
- |
0,05 |
31/mrt/2026 |
0,75 |
4,49 |
5,98 |
-10,64 |
-7,28 |
31/mrt/2026 |
-2,65 |
-2,36 |
11,57 |
-7,56 |
- |
0,41 |
31/mrt/2026 |
-3,37 |
-15,98 |
3,16 |
4,64 |
5,16 |
31/dec/2025 |
22/aug/2018 |
310.509,61 |
7,91 |
- |
27,47 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1864664625 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,29 |
6,68 |
4,86 |
-1,68 |
- |
-0,40 |
31/mrt/2026 |
6,68 |
1,73 |
6,25 |
-8,61 |
-12,82 |
31/mrt/2026 |
-3,29 |
-0,72 |
15,31 |
-8,13 |
- |
-2,96 |
31/mrt/2026 |
-14,83 |
-16,00 |
9,18 |
-0,79 |
12,31 |
31/dec/2025 |
29/aug/2018 |
296.570,28 |
7,90 |
- |
40,74 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1864664542 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,39 |
6,59 |
4,83 |
-1,70 |
- |
-0,40 |
31/mrt/2026 |
6,59 |
1,68 |
6,29 |
-8,58 |
-12,87 |
31/mrt/2026 |
-3,39 |
-0,72 |
15,20 |
-8,23 |
- |
-3,00 |
31/mrt/2026 |
-14,83 |
-15,99 |
9,09 |
-0,78 |
12,43 |
31/dec/2025 |
29/aug/2018 |
5.625.135,61 |
9,93 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861218995 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,69 |
3,03 |
5,26 |
0,46 |
- |
2,73 |
31/mrt/2026 |
3,03 |
-2,31 |
15,88 |
-8,64 |
-3,98 |
31/mrt/2026 |
-2,69 |
-2,14 |
16,63 |
2,31 |
- |
22,22 |
31/mrt/2026 |
9,12 |
-22,58 |
10,92 |
10,28 |
0,36 |
31/dec/2025 |
17/okt/2018 |
- |
125,80 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1861219373 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-3,21 |
0,72 |
2,87 |
-1,06 |
- |
1,52 |
31/mrt/2026 |
0,72 |
-4,65 |
13,37 |
-9,41 |
-3,89 |
31/mrt/2026 |
-3,21 |
-3,23 |
8,88 |
-5,20 |
- |
11,88 |
31/mrt/2026 |
8,75 |
-22,76 |
8,70 |
7,75 |
-1,95 |
31/dec/2025 |
17/okt/2018 |
- |
115,01 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861219027 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,64 |
3,26 |
5,51 |
0,79 |
- |
3,19 |
31/mrt/2026 |
3,26 |
-2,07 |
16,16 |
-8,39 |
-3,33 |
31/mrt/2026 |
-2,64 |
-2,03 |
17,47 |
4,03 |
- |
26,37 |
31/mrt/2026 |
9,88 |
-22,42 |
11,20 |
10,56 |
0,59 |
31/dec/2025 |
17/okt/2018 |
- |
130,09 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1861219456 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-3,15 |
0,98 |
3,14 |
-0,75 |
- |
1,98 |
31/mrt/2026 |
0,98 |
-4,41 |
13,66 |
-9,13 |
-3,39 |
31/mrt/2026 |
-3,15 |
-3,11 |
9,71 |
-3,69 |
- |
15,71 |
31/mrt/2026 |
9,51 |
-22,70 |
9,01 |
8,03 |
-1,70 |
31/dec/2025 |
17/okt/2018 |
- |
118,98 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861219613 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,20 |
5,41 |
7,24 |
2,37 |
- |
4,64 |
31/mrt/2026 |
5,41 |
-0,78 |
17,94 |
-5,85 |
-3,19 |
31/mrt/2026 |
-2,20 |
-1,10 |
23,34 |
12,42 |
- |
40,18 |
31/mrt/2026 |
9,91 |
-20,62 |
13,31 |
12,04 |
2,49 |
31/dec/2025 |
17/okt/2018 |
- |
144,56 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1861218219 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,21 |
5,39 |
7,26 |
2,33 |
- |
4,55 |
31/mrt/2026 |
5,39 |
-0,55 |
17,73 |
-6,96 |
-2,28 |
31/mrt/2026 |
-2,21 |
-1,07 |
23,40 |
12,19 |
- |
39,31 |
31/mrt/2026 |
10,48 |
-21,05 |
12,87 |
12,05 |
2,72 |
31/dec/2025 |
17/okt/2018 |
- |
143,67 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1861218565 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,81 |
2,53 |
4,74 |
-0,01 |
- |
2,29 |
31/mrt/2026 |
2,53 |
-2,80 |
15,30 |
-9,09 |
-4,30 |
31/mrt/2026 |
-2,81 |
-2,37 |
14,91 |
-0,03 |
- |
18,35 |
31/mrt/2026 |
8,68 |
-22,90 |
10,35 |
9,74 |
-0,12 |
31/dec/2025 |
17/okt/2018 |
- |
121,76 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1861218136 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,27 |
5,13 |
6,99 |
1,99 |
- |
4,03 |
31/mrt/2026 |
5,13 |
-0,80 |
17,44 |
-7,19 |
-2,93 |
31/mrt/2026 |
-2,27 |
-1,18 |
22,48 |
10,34 |
- |
34,27 |
31/mrt/2026 |
9,83 |
-21,25 |
12,58 |
11,76 |
2,46 |
31/dec/2025 |
17/okt/2018 |
- |
138,45 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1861219704 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,09 |
5,65 |
7,50 |
2,73 |
- |
5,16 |
31/mrt/2026 |
5,65 |
-0,52 |
18,21 |
-5,57 |
-2,48 |
31/mrt/2026 |
-2,09 |
-0,99 |
24,24 |
14,40 |
- |
45,52 |
31/mrt/2026 |
10,56 |
-20,34 |
13,57 |
12,34 |
2,67 |
31/dec/2025 |
17/okt/2018 |
- |
150,10 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1864665788 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,43 |
9,01 |
3,76 |
-0,10 |
- |
0,53 |
31/mrt/2026 |
9,01 |
-0,62 |
3,11 |
-0,32 |
-10,61 |
31/mrt/2026 |
-3,43 |
-0,95 |
11,70 |
-0,48 |
- |
4,10 |
31/mrt/2026 |
-10,48 |
-12,20 |
12,66 |
-8,12 |
17,69 |
31/dec/2025 |
05/sep/2018 |
1.936.585,13 |
10,71 |
- |
652,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1864665861 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,48 |
9,03 |
3,74 |
-0,10 |
- |
0,53 |
31/mrt/2026 |
9,03 |
-0,72 |
3,13 |
-0,26 |
-10,63 |
31/mrt/2026 |
-3,48 |
-0,92 |
11,64 |
-0,48 |
- |
4,11 |
31/mrt/2026 |
-10,45 |
-12,29 |
12,76 |
-8,14 |
17,71 |
31/dec/2025 |
05/sep/2018 |
1.653.972,19 |
7,56 |
- |
652,06 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1864665275 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,34 |
4,40 |
5,79 |
-1,11 |
- |
0,56 |
31/mrt/2026 |
4,40 |
3,31 |
9,76 |
-12,94 |
-8,25 |
31/mrt/2026 |
-3,34 |
-0,86 |
18,39 |
-5,44 |
- |
4,30 |
31/mrt/2026 |
-4,66 |
-20,72 |
8,11 |
4,33 |
9,21 |
31/dec/2025 |
05/sep/2018 |
6.058.344,41 |
10,72 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1864665358 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,40 |
4,35 |
5,78 |
-1,11 |
- |
0,56 |
31/mrt/2026 |
4,35 |
3,37 |
9,73 |
-12,91 |
-8,26 |
31/mrt/2026 |
-3,40 |
-0,89 |
18,37 |
-5,43 |
- |
4,32 |
31/mrt/2026 |
-4,58 |
-20,77 |
8,22 |
4,25 |
9,29 |
31/dec/2025 |
05/sep/2018 |
2.407.628,83 |
8,29 |
- |
492,09 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1864666323 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
17,36 |
40,66 |
11,34 |
11,76 |
- |
8,92 |
31/mrt/2026 |
40,66 |
-0,95 |
-0,94 |
-9,56 |
39,71 |
31/mrt/2026 |
17,36 |
25,39 |
38,02 |
74,38 |
- |
90,60 |
31/mrt/2026 |
28,72 |
13,64 |
-3,88 |
-5,88 |
26,78 |
31/dec/2025 |
12/sep/2018 |
7.359.824,41 |
18,74 |
- |
421,31 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1864666240 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
17,14 |
39,63 |
10,53 |
10,93 |
- |
8,13 |
31/mrt/2026 |
39,63 |
-1,67 |
-1,65 |
-10,22 |
38,55 |
31/mrt/2026 |
17,14 |
25,02 |
35,03 |
67,97 |
- |
80,40 |
31/mrt/2026 |
27,70 |
12,82 |
-4,66 |
-6,49 |
25,82 |
31/dec/2025 |
12/sep/2018 |
10.453.433,47 |
17,73 |
- |
421,31 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE00BF553F02 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,47 |
14,00 |
16,67 |
12,23 |
- |
12,85 |
31/mrt/2026 |
14,00 |
5,32 |
32,29 |
-8,28 |
22,21 |
31/mrt/2026 |
-4,47 |
0,54 |
58,83 |
78,03 |
- |
148,66 |
31/mrt/2026 |
39,97 |
-15,34 |
22,30 |
34,66 |
6,27 |
31/dec/2025 |
18/sep/2018 |
641.747.341,16 |
274,53 |
274,53 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| EMES |
USD |
IE00BDDRDW15 |
iShares JP Morgan Advanced $ EM Bond UCITS ETF |
iShares II plc |
-1,92 |
8,52 |
8,06 |
1,42 |
- |
2,83 |
31/mrt/2026 |
8,52 |
6,25 |
9,46 |
-7,59 |
-7,98 |
31/mrt/2026 |
-1,92 |
0,96 |
26,20 |
7,31 |
- |
23,30 |
31/mrt/2026 |
-2,82 |
-18,51 |
9,92 |
5,52 |
13,06 |
31/dec/2025 |
24/sep/2018 |
495.839.436,77 |
4,42 |
- |
3.606,37 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1883300706 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-2,23 |
1,86 |
2,64 |
-0,46 |
- |
0,68 |
31/mrt/2026 |
1,86 |
2,15 |
3,92 |
-7,73 |
-2,04 |
31/mrt/2026 |
-2,23 |
-1,21 |
8,12 |
-2,27 |
- |
5,19 |
31/mrt/2026 |
3,23 |
-13,05 |
4,88 |
2,88 |
4,02 |
31/dec/2025 |
26/sep/2018 |
2.247.101,95 |
7,85 |
- |
146,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1883300615 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-2,12 |
2,35 |
3,13 |
0,04 |
- |
1,17 |
31/mrt/2026 |
2,35 |
2,62 |
4,44 |
-7,31 |
-1,46 |
31/mrt/2026 |
-2,12 |
-0,97 |
9,69 |
0,18 |
- |
9,17 |
31/mrt/2026 |
3,75 |
-12,59 |
5,38 |
3,32 |
4,58 |
31/dec/2025 |
26/sep/2018 |
567.570,37 |
8,14 |
- |
146,18 |
30/apr/2026 |
Distributie |
| SDUS |
USD |
IE00BFNM3H51 |
iShares MSCI USA Screened UCITS ETF |
iShares IV plc |
-5,85 |
17,79 |
18,75 |
11,71 |
- |
14,17 |
31/mrt/2026 |
17,79 |
7,60 |
32,12 |
-8,88 |
14,00 |
31/mrt/2026 |
-5,85 |
-3,35 |
67,45 |
73,94 |
- |
168,29 |
31/mrt/2026 |
27,37 |
-20,96 |
29,78 |
26,19 |
18,09 |
31/dec/2025 |
19/okt/2018 |
1.683.249.434,91 |
13,79 |
- |
19.242,79 |
01/mei/2026 |
Distributie |
| SDUE |
EUR |
IE00BFNM3F38 |
iShares MSCI Europe Screened UCITS ETF |
iShares IV plc |
-1,97 |
10,56 |
11,29 |
9,02 |
- |
9,35 |
31/mrt/2026 |
10,56 |
6,59 |
16,95 |
3,34 |
8,11 |
31/mrt/2026 |
-1,97 |
4,31 |
37,82 |
53,97 |
- |
94,61 |
31/mrt/2026 |
25,09 |
-11,38 |
17,97 |
9,28 |
18,67 |
31/dec/2025 |
19/okt/2018 |
443.801.447,43 |
8,52 |
- |
5.180,12 |
01/mei/2026 |
Distributie |
| SMUD |
EUR |
IE00BFNM3C07 |
iShares MSCI EMU Screened UCITS ETF |
iShares IV plc |
-2,80 |
10,91 |
11,77 |
9,08 |
- |
9,47 |
31/mrt/2026 |
10,91 |
6,71 |
17,96 |
8,49 |
1,95 |
31/mrt/2026 |
-2,80 |
2,04 |
39,62 |
54,43 |
- |
96,17 |
31/mrt/2026 |
22,94 |
-13,01 |
20,19 |
9,85 |
22,26 |
31/dec/2025 |
19/okt/2018 |
506.034.321,57 |
8,64 |
- |
1.915,23 |
01/mei/2026 |
Distributie |
| SEDM |
USD |
IE00BFNM3N12 |
iShares MSCI EM IMI Screened UCITS ETF |
iShares IV plc |
-0,33 |
29,07 |
14,79 |
3,77 |
- |
7,76 |
31/mrt/2026 |
29,07 |
7,48 |
9,04 |
-11,10 |
-10,55 |
31/mrt/2026 |
-0,33 |
4,00 |
51,26 |
20,30 |
- |
74,44 |
31/mrt/2026 |
-0,95 |
-20,68 |
11,17 |
7,83 |
31,80 |
31/dec/2025 |
19/okt/2018 |
1.395.990.594,28 |
8,50 |
- |
7.827,13 |
01/mei/2026 |
Distributie |
| SDJP |
USD |
IE00BFNM3M05 |
iShares MSCI Japan Screened UCITS ETF |
iShares IV plc |
0,63 |
24,14 |
14,69 |
5,80 |
- |
7,31 |
31/mrt/2026 |
24,14 |
-2,21 |
24,28 |
-5,64 |
-6,87 |
31/mrt/2026 |
0,63 |
3,63 |
50,87 |
32,58 |
- |
69,08 |
31/mrt/2026 |
1,35 |
-17,15 |
19,74 |
7,57 |
23,50 |
31/dec/2025 |
19/okt/2018 |
371.413.460,20 |
8,04 |
- |
2.357,64 |
01/mei/2026 |
Distributie |
| SDWD |
USD |
IE00BFNM3K80 |
iShares MSCI World Screened UCITS ETF |
iShares IV plc |
-4,84 |
18,64 |
17,21 |
10,41 |
- |
12,31 |
31/mrt/2026 |
18,64 |
6,84 |
27,05 |
-7,18 |
9,76 |
31/mrt/2026 |
-4,84 |
-1,74 |
61,04 |
64,06 |
- |
137,37 |
31/mrt/2026 |
22,23 |
-19,52 |
26,26 |
19,98 |
21,24 |
31/dec/2025 |
19/okt/2018 |
1.277.058.093,02 |
11,68 |
- |
6.943,89 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1893598885 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,34 |
2,60 |
4,43 |
0,72 |
- |
1,36 |
31/mrt/2026 |
2,60 |
4,26 |
6,49 |
-4,24 |
-4,97 |
31/mrt/2026 |
-1,34 |
-0,63 |
13,90 |
3,66 |
- |
10,60 |
31/mrt/2026 |
-0,84 |
-8,85 |
6,30 |
3,50 |
5,26 |
31/dec/2025 |
17/okt/2018 |
4.861,49 |
11,18 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1893598703 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-0,92 |
4,96 |
6,50 |
2,68 |
- |
3,48 |
31/mrt/2026 |
4,96 |
6,04 |
8,52 |
-1,48 |
-4,07 |
31/mrt/2026 |
-0,92 |
0,39 |
20,79 |
14,16 |
- |
29,00 |
31/mrt/2026 |
0,00 |
-6,63 |
8,80 |
5,22 |
7,60 |
31/dec/2025 |
17/okt/2018 |
990.176,26 |
13,06 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1893598968 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,93 |
0,50 |
2,02 |
-0,83 |
- |
0,20 |
31/mrt/2026 |
0,50 |
1,41 |
4,18 |
-4,78 |
-5,10 |
31/mrt/2026 |
-1,93 |
-1,74 |
6,17 |
-4,06 |
- |
1,50 |
31/mrt/2026 |
-1,13 |
-9,04 |
4,29 |
0,80 |
2,99 |
31/dec/2025 |
17/okt/2018 |
5.119,65 |
10,24 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1896777239 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-3,31 |
18,53 |
14,55 |
11,08 |
- |
9,62 |
31/mrt/2026 |
18,53 |
11,55 |
13,68 |
20,43 |
-6,57 |
31/mrt/2026 |
-3,31 |
5,90 |
50,31 |
69,12 |
- |
97,94 |
31/mrt/2026 |
5,48 |
12,06 |
20,58 |
-0,01 |
34,19 |
31/dec/2025 |
24/okt/2018 |
- |
209,05 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| SJPD |
USD |
IE00BFM15T99 |
iShares Core MSCI Japan IMI UCITS ETF |
iShares III plc |
1,80 |
26,32 |
15,55 |
6,32 |
- |
8,18 |
31/mrt/2026 |
26,32 |
-0,53 |
22,80 |
-4,69 |
-7,62 |
31/mrt/2026 |
1,80 |
4,58 |
54,30 |
35,86 |
- |
77,80 |
31/mrt/2026 |
0,92 |
-15,88 |
18,86 |
7,47 |
25,35 |
31/dec/2025 |
06/dec/2018 |
55.265.550,65 |
8,30 |
- |
7.752,18 |
01/mei/2026 |
Distributie |
| SUJD |
USD |
IE00BGDQ0V72 |
iShares MSCI Japan SRI UCITS ETF |
iShares IV plc |
-5,63 |
9,01 |
7,53 |
1,50 |
- |
5,48 |
31/mrt/2026 |
9,01 |
2,48 |
11,30 |
-6,83 |
-7,03 |
31/mrt/2026 |
-5,63 |
-2,42 |
24,34 |
7,70 |
- |
47,80 |
31/mrt/2026 |
1,51 |
-18,09 |
13,10 |
3,84 |
17,76 |
31/dec/2025 |
06/dec/2018 |
54.943.998,32 |
6,71 |
- |
576,01 |
01/mei/2026 |
Distributie |
| SEMD |
USD |
IE00BGDQ0T50 |
iShares MSCI EM SRI UCITS ETF |
iShares IV plc |
-0,98 |
29,89 |
11,18 |
2,38 |
- |
6,18 |
31/mrt/2026 |
29,89 |
5,82 |
-0,03 |
-14,68 |
-4,04 |
31/mrt/2026 |
-0,98 |
3,28 |
37,42 |
12,50 |
- |
55,08 |
31/mrt/2026 |
-0,80 |
-18,48 |
2,04 |
5,39 |
30,31 |
31/dec/2025 |
06/dec/2018 |
484.550.924,96 |
7,21 |
- |
4.078,33 |
01/mei/2026 |
Distributie |
| SRIL |
USD |
IE00BZ173T46 |
iShares MSCI USA SRI UCITS ETF |
iShares IV plc |
-2,87 |
13,76 |
12,11 |
8,82 |
- |
13,80 |
31/mrt/2026 |
13,76 |
1,49 |
22,04 |
-6,56 |
15,90 |
31/mrt/2026 |
-2,87 |
-2,26 |
40,91 |
52,60 |
- |
157,36 |
31/mrt/2026 |
30,45 |
-18,75 |
23,93 |
13,50 |
11,03 |
31/dec/2025 |
06/dec/2018 |
372.738.206,98 |
12,82 |
- |
3.677,80 |
01/mei/2026 |
Distributie |
| ISED |
EUR |
IE00BGDPWW94 |
iShares MSCI Europe SRI UCITS ETF |
iShares II plc |
-4,27 |
-0,57 |
3,55 |
4,31 |
- |
7,91 |
31/mrt/2026 |
-0,57 |
-2,31 |
14,30 |
1,77 |
9,30 |
31/mrt/2026 |
-4,27 |
-1,83 |
11,02 |
23,50 |
- |
74,51 |
31/mrt/2026 |
27,02 |
-15,20 |
17,17 |
5,81 |
3,28 |
31/dec/2025 |
06/dec/2018 |
192.787.821,54 |
7,65 |
- |
3.301,20 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1917164268 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
4,44 |
21,39 |
0,12 |
1,48 |
- |
9,04 |
31/mrt/2026 |
21,39 |
-12,31 |
-5,73 |
1,35 |
5,85 |
31/mrt/2026 |
4,44 |
5,90 |
0,35 |
7,65 |
- |
88,45 |
31/mrt/2026 |
31,43 |
-18,54 |
6,91 |
-5,95 |
7,34 |
31/dec/2025 |
05/dec/2018 |
29.126.936,87 |
15,85 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1917163617 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-19,51 |
-4,37 |
7,16 |
-8,07 |
- |
3,55 |
31/mrt/2026 |
-4,37 |
-6,51 |
37,65 |
-34,44 |
-18,62 |
31/mrt/2026 |
-19,51 |
-28,24 |
23,07 |
-34,33 |
- |
29,10 |
31/mrt/2026 |
7,53 |
-37,51 |
13,03 |
21,98 |
1,07 |
31/dec/2025 |
05/dec/2018 |
26.298.228,55 |
13,96 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1917164938 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-1,10 |
40,07 |
17,41 |
-0,31 |
- |
15,15 |
31/mrt/2026 |
40,07 |
-10,36 |
28,90 |
-28,57 |
-14,84 |
31/mrt/2026 |
-1,10 |
4,17 |
61,85 |
-1,55 |
- |
180,00 |
31/mrt/2026 |
9,29 |
-48,06 |
27,49 |
30,44 |
8,84 |
31/dec/2025 |
12/dec/2018 |
546.956.816,84 |
36,50 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1917163450 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-19,27 |
-3,14 |
8,58 |
-6,85 |
- |
4,92 |
31/mrt/2026 |
-3,14 |
-5,21 |
39,45 |
-33,61 |
-17,50 |
31/mrt/2026 |
-19,27 |
-27,83 |
28,03 |
-29,88 |
- |
42,13 |
31/mrt/2026 |
9,02 |
-36,76 |
14,56 |
23,66 |
2,38 |
31/dec/2025 |
05/dec/2018 |
1.500.720,21 |
12,02 |
- |
129,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1917164854 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-0,74 |
41,98 |
18,99 |
1,01 |
- |
16,68 |
31/mrt/2026 |
41,98 |
-9,13 |
30,57 |
-27,64 |
-13,72 |
31/mrt/2026 |
-0,74 |
4,88 |
68,47 |
5,18 |
- |
208,40 |
31/mrt/2026 |
10,72 |
-47,34 |
29,15 |
32,17 |
10,29 |
31/dec/2025 |
12/dec/2018 |
63.271.686,23 |
29,69 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1917164342 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
4,08 |
19,82 |
-1,22 |
0,15 |
- |
7,61 |
31/mrt/2026 |
19,82 |
-13,51 |
-6,99 |
0,00 |
4,53 |
31/mrt/2026 |
4,08 |
5,16 |
-3,61 |
0,77 |
- |
71,10 |
31/mrt/2026 |
29,65 |
-19,62 |
5,49 |
-7,18 |
5,93 |
31/dec/2025 |
05/dec/2018 |
186.539.066,88 |
18,87 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1919856218 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,88 |
3,55 |
4,90 |
1,94 |
- |
4,10 |
31/mrt/2026 |
3,55 |
3,19 |
8,03 |
-5,96 |
1,41 |
31/mrt/2026 |
-1,88 |
-0,89 |
15,44 |
10,09 |
- |
33,97 |
31/mrt/2026 |
6,75 |
-11,99 |
9,31 |
4,26 |
5,54 |
31/dec/2025 |
19/dec/2018 |
2.577.615,82 |
88,87 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1919856309 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,45 |
2,76 |
3,43 |
-5,29 |
- |
-0,40 |
31/mrt/2026 |
2,76 |
8,40 |
-0,67 |
-8,05 |
-25,09 |
31/mrt/2026 |
-1,45 |
-0,96 |
10,64 |
-23,79 |
- |
-2,90 |
31/mrt/2026 |
-15,37 |
-19,13 |
-5,42 |
11,64 |
7,21 |
31/dec/2025 |
19/dec/2018 |
131.445.457,85 |
52,72 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1919856051 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,96 |
7,32 |
8,48 |
1,84 |
- |
3,42 |
31/mrt/2026 |
7,32 |
4,21 |
14,15 |
-11,31 |
-3,24 |
31/mrt/2026 |
-1,96 |
1,07 |
27,67 |
9,56 |
- |
27,75 |
31/mrt/2026 |
-0,63 |
-16,99 |
12,06 |
4,93 |
11,39 |
31/dec/2025 |
19/dec/2018 |
31.154,20 |
90,30 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU1919856135 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,83 |
2,92 |
5,01 |
1,36 |
- |
3,89 |
31/mrt/2026 |
2,92 |
4,14 |
8,03 |
-6,92 |
-0,75 |
31/mrt/2026 |
-1,83 |
-1,15 |
15,79 |
6,97 |
- |
32,04 |
31/mrt/2026 |
4,62 |
-12,90 |
8,79 |
5,07 |
5,24 |
31/dec/2025 |
19/dec/2018 |
54.790.350,52 |
88,25 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1921562119 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,70 |
9,89 |
6,30 |
4,08 |
- |
5,10 |
31/mrt/2026 |
9,89 |
2,78 |
6,34 |
0,49 |
1,19 |
31/mrt/2026 |
0,70 |
2,94 |
20,11 |
22,13 |
- |
43,65 |
31/mrt/2026 |
2,38 |
-1,52 |
8,20 |
2,19 |
10,54 |
31/dec/2025 |
19/dec/2018 |
- |
145,33 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| IBTU |
USD |
IE00BGR7L912 |
iShares $ Treasury Bond 0-1yr UCITS ETF |
iShares plc |
0,82 |
4,07 |
4,74 |
3,25 |
- |
2,70 |
31/mrt/2026 |
4,07 |
5,05 |
5,11 |
2,25 |
-0,15 |
31/mrt/2026 |
0,82 |
1,86 |
14,91 |
17,32 |
- |
20,86 |
31/mrt/2026 |
-0,01 |
0,98 |
5,04 |
5,22 |
4,31 |
31/dec/2025 |
20/feb/2019 |
717.214.555,70 |
4,95 |
- |
25.929,21 |
01/mei/2026 |
Distributie |
| - |
JPY |
LU1948809105 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,62 |
1,13 |
0,35 |
-0,59 |
- |
0,27 |
31/mrt/2026 |
1,13 |
-0,02 |
-0,04 |
-0,37 |
-3,60 |
31/mrt/2026 |
-1,62 |
-1,24 |
1,07 |
-2,93 |
- |
1,96 |
31/mrt/2026 |
-1,13 |
-2,22 |
-0,90 |
-0,11 |
2,93 |
31/dec/2025 |
27/feb/2019 |
- |
10.266,66 |
- |
2.722,61 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU1948809287 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,33 |
27,66 |
12,17 |
6,53 |
- |
9,89 |
31/mrt/2026 |
27,66 |
-7,22 |
19,16 |
-11,97 |
10,40 |
31/mrt/2026 |
-6,33 |
-1,21 |
41,14 |
37,17 |
- |
95,20 |
31/mrt/2026 |
23,94 |
-17,70 |
15,25 |
10,22 |
23,83 |
31/dec/2025 |
27/feb/2019 |
61.248.244,88 |
2.261,00 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1940842427 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,38 |
10,31 |
9,69 |
3,24 |
- |
4,22 |
31/mrt/2026 |
10,31 |
4,69 |
14,29 |
-12,59 |
1,67 |
31/mrt/2026 |
-2,38 |
0,08 |
32,00 |
17,31 |
- |
34,10 |
31/mrt/2026 |
10,47 |
-19,59 |
12,95 |
9,67 |
12,23 |
31/dec/2025 |
27/feb/2019 |
401.653,01 |
8,83 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU1948809444 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,91 |
22,60 |
16,44 |
2,49 |
- |
13,09 |
31/mrt/2026 |
22,60 |
-5,38 |
36,11 |
-23,41 |
-6,48 |
31/mrt/2026 |
-9,91 |
-10,78 |
57,89 |
13,10 |
- |
139,20 |
31/mrt/2026 |
7,72 |
-45,08 |
41,31 |
27,38 |
13,90 |
31/dec/2025 |
27/feb/2019 |
1.512.887.620,35 |
3.028,00 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU1948809360 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-6,04 |
-1,18 |
-0,86 |
-0,24 |
- |
3,30 |
31/mrt/2026 |
-1,18 |
-7,28 |
6,35 |
-7,58 |
9,73 |
31/mrt/2026 |
-6,04 |
3,54 |
-2,55 |
-1,18 |
- |
25,90 |
31/mrt/2026 |
13,78 |
-7,47 |
-3,89 |
-3,66 |
8,24 |
31/dec/2025 |
27/feb/2019 |
201.058.377,60 |
1.238,00 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| EEDS |
USD |
IE00BHZPJ890 |
iShares MSCI USA CTB Enhanced ESG UCITS ETF |
iShares IV plc |
-5,63 |
15,03 |
16,27 |
9,73 |
- |
13,53 |
31/mrt/2026 |
15,03 |
6,43 |
28,39 |
-9,63 |
11,97 |
31/mrt/2026 |
-5,63 |
-3,60 |
57,19 |
59,07 |
- |
145,13 |
31/mrt/2026 |
26,91 |
-21,44 |
25,58 |
23,55 |
15,18 |
31/dec/2025 |
06/mrt/2019 |
16.280.114.067,32 |
12,47 |
- |
27.044,14 |
01/mei/2026 |
Distributie |
| EEWD |
USD |
IE00BG11HV38 |
iShares MSCI World CTB Enhanced ESG UCITS ETF |
iShares IV plc |
-4,30 |
17,43 |
15,41 |
9,00 |
- |
12,11 |
31/mrt/2026 |
17,43 |
6,21 |
23,23 |
-7,88 |
8,65 |
31/mrt/2026 |
-4,30 |
-1,38 |
53,70 |
53,84 |
- |
124,16 |
31/mrt/2026 |
22,44 |
-20,13 |
22,81 |
17,83 |
19,43 |
31/dec/2025 |
08/mrt/2019 |
853.769.996,13 |
10,96 |
- |
5.732,09 |
01/mei/2026 |
Distributie |
| EEUD |
EUR |
IE00BHZPJ676 |
iShares MSCI Europe CTB Enhanced ESG UCITS ETF |
iShares IV plc |
-1,20 |
11,30 |
10,46 |
8,23 |
- |
8,70 |
31/mrt/2026 |
11,30 |
5,73 |
14,52 |
1,48 |
8,57 |
31/mrt/2026 |
-1,20 |
5,33 |
34,76 |
48,47 |
- |
80,33 |
31/mrt/2026 |
25,50 |
-12,42 |
16,12 |
8,70 |
17,19 |
31/dec/2025 |
06/mrt/2019 |
4.478.975.322,19 |
7,89 |
- |
6.643,39 |
01/mei/2026 |
Distributie |
| EEJD |
USD |
IE00BHZPJ346 |
iShares MSCI Japan CTB Enhanced ESG UCITS ETF |
iShares IV plc |
0,68 |
24,50 |
14,40 |
5,53 |
- |
8,50 |
31/mrt/2026 |
24,50 |
-1,92 |
22,63 |
-5,74 |
-7,27 |
31/mrt/2026 |
0,68 |
4,18 |
49,74 |
30,87 |
- |
77,93 |
31/mrt/2026 |
1,24 |
-17,55 |
19,66 |
5,60 |
24,67 |
31/dec/2025 |
08/mrt/2019 |
855.042.363,82 |
8,52 |
- |
2.307,24 |
01/mei/2026 |
Distributie |
| EMUD |
EUR |
IE00BHZPHZ28 |
iShares MSCI EMU CTB Enhanced ESG UCITS ETF |
iShares IV plc |
-3,05 |
11,20 |
11,40 |
8,74 |
- |
9,72 |
31/mrt/2026 |
11,20 |
6,96 |
16,25 |
7,94 |
1,87 |
31/mrt/2026 |
-3,05 |
1,80 |
38,26 |
52,02 |
- |
92,50 |
31/mrt/2026 |
22,92 |
-12,99 |
18,67 |
10,35 |
21,72 |
31/dec/2025 |
08/mrt/2019 |
432.178.518,22 |
8,51 |
- |
3.595,07 |
01/mei/2026 |
Distributie |
| EEDM |
USD |
IE00BHZPJ122 |
iShares MSCI EM CTB Enhanced ESG UCITS ETF |
iShares IV plc |
-0,83 |
29,52 |
14,37 |
3,02 |
- |
6,74 |
31/mrt/2026 |
29,52 |
9,56 |
5,42 |
-12,98 |
-10,84 |
31/mrt/2026 |
-0,83 |
3,16 |
49,59 |
16,06 |
- |
52,18 |
31/mrt/2026 |
-2,35 |
-21,90 |
8,60 |
7,23 |
34,42 |
31/dec/2025 |
22/okt/2019 |
1.301.103.926,91 |
7,74 |
- |
10.672,38 |
01/mei/2026 |
Distributie |
| - |
CHF |
LU1971548372 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-6,00 |
14,55 |
11,07 |
5,16 |
- |
3,07 |
31/mrt/2026 |
14,55 |
8,20 |
10,57 |
7,51 |
-12,70 |
31/mrt/2026 |
-6,00 |
1,51 |
37,04 |
28,62 |
- |
23,39 |
31/mrt/2026 |
2,41 |
-4,19 |
20,73 |
-6,39 |
35,72 |
31/dec/2025 |
17/apr/2019 |
- |
132,50 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1971548455 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-5,90 |
15,13 |
11,62 |
5,69 |
- |
3,62 |
31/mrt/2026 |
15,13 |
8,71 |
11,13 |
8,05 |
-12,24 |
31/mrt/2026 |
-5,90 |
1,76 |
39,08 |
31,89 |
- |
28,01 |
31/mrt/2026 |
2,93 |
-3,70 |
21,34 |
-5,92 |
36,40 |
31/dec/2025 |
17/apr/2019 |
- |
137,53 |
- |
1.422,04 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1960224902 |
BGF Global Conservative Income Fund |
BlackRock (Luxembourg) S.A. |
-2,30 |
1,74 |
2,62 |
-0,47 |
- |
0,65 |
31/mrt/2026 |
1,74 |
2,18 |
3,96 |
-7,82 |
-1,97 |
31/mrt/2026 |
-2,30 |
-1,34 |
8,08 |
-2,34 |
- |
4,58 |
31/mrt/2026 |
3,25 |
-12,97 |
4,81 |
2,91 |
4,02 |
31/dec/2025 |
17/apr/2019 |
1.415.450,89 |
8,24 |
- |
146,18 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1963769176 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,30 |
3,84 |
4,75 |
1,02 |
- |
2,03 |
31/mrt/2026 |
3,84 |
5,96 |
4,47 |
-0,98 |
-7,57 |
31/mrt/2026 |
0,30 |
0,52 |
14,94 |
5,19 |
- |
15,02 |
31/mrt/2026 |
-4,87 |
-5,66 |
3,07 |
7,80 |
4,38 |
31/dec/2025 |
17/apr/2019 |
773.790.699,85 |
79,93 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| IKSD |
USD |
IE00BJ5JPJ87 |
iShares MSCI Saudi Arabia Capped UCITS ETF |
iShares III plc |
9,05 |
1,40 |
4,23 |
4,67 |
- |
3,50 |
31/mrt/2026 |
1,40 |
-2,90 |
15,01 |
-19,51 |
37,82 |
31/mrt/2026 |
9,05 |
0,61 |
13,24 |
25,63 |
- |
26,88 |
31/mrt/2026 |
36,81 |
-5,65 |
9,92 |
0,00 |
-5,59 |
31/dec/2025 |
26/apr/2019 |
19.422.130,43 |
5,37 |
- |
558,28 |
01/mei/2026 |
Distributie |
| 36B7 |
EUR |
IE00BJSFQW37 |
iShares Global Corp Bond UCITS ETF |
iShares plc |
-1,06 |
2,24 |
3,08 |
-0,95 |
- |
0,33 |
31/mrt/2026 |
2,24 |
3,38 |
3,62 |
-7,97 |
-5,42 |
31/mrt/2026 |
-1,06 |
-0,68 |
9,52 |
-4,67 |
- |
2,32 |
31/mrt/2026 |
-1,93 |
-16,41 |
6,49 |
1,72 |
4,71 |
31/dec/2025 |
26/apr/2019 |
134.004.598,21 |
4,17 |
- |
4.438,35 |
01/mei/2026 |
Distributie |
| HYLE |
EUR |
IE00BJSFR200 |
iShares Global High Yield Corp Bond UCITS ETF |
iShares plc |
-1,31 |
3,61 |
5,89 |
2,01 |
- |
2,39 |
31/mrt/2026 |
3,61 |
5,92 |
8,19 |
-4,73 |
-2,32 |
31/mrt/2026 |
-1,31 |
-0,45 |
18,73 |
10,49 |
- |
17,79 |
31/mrt/2026 |
3,13 |
-10,98 |
9,91 |
5,90 |
5,76 |
31/dec/2025 |
26/apr/2019 |
378.299.116,76 |
4,31 |
- |
3.100,52 |
01/mei/2026 |
Distributie |
| - |
USD |
LU1984140423 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-6,57 |
12,71 |
8,94 |
4,60 |
- |
10,07 |
31/mrt/2026 |
12,71 |
-3,50 |
18,89 |
-2,38 |
-0,83 |
31/mrt/2026 |
-6,57 |
-3,40 |
29,31 |
25,19 |
- |
94,54 |
31/mrt/2026 |
17,24 |
-28,19 |
24,23 |
1,70 |
25,85 |
31/dec/2025 |
24/apr/2019 |
111.154.507,98 |
65,06 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1984140779 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-3,84 |
15,07 |
12,51 |
7,61 |
- |
8,83 |
31/mrt/2026 |
15,07 |
9,36 |
13,18 |
-0,62 |
1,98 |
31/mrt/2026 |
-3,84 |
1,62 |
42,42 |
44,33 |
- |
79,84 |
31/mrt/2026 |
11,83 |
-16,33 |
18,87 |
2,08 |
32,95 |
31/dec/2025 |
24/apr/2019 |
1.148.132,80 |
42,90 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1990978147 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,33 |
4,86 |
6,70 |
1,77 |
- |
3,83 |
31/mrt/2026 |
4,86 |
-1,28 |
17,35 |
-6,32 |
-4,06 |
31/mrt/2026 |
-2,33 |
-1,36 |
21,47 |
9,17 |
- |
29,55 |
31/mrt/2026 |
9,40 |
-21,38 |
12,73 |
11,48 |
1,97 |
31/dec/2025 |
08/mei/2019 |
- |
133,54 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1991022069 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
5,09 |
0,01 |
5,14 |
7,72 |
- |
4,46 |
31/mrt/2026 |
0,01 |
4,07 |
11,65 |
9,30 |
14,20 |
31/mrt/2026 |
5,09 |
7,72 |
16,21 |
45,06 |
- |
35,12 |
31/mrt/2026 |
17,40 |
10,94 |
4,10 |
15,29 |
-6,51 |
31/dec/2025 |
08/mei/2019 |
- |
136,23 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1991003358 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-3,33 |
0,21 |
2,36 |
-1,56 |
- |
0,89 |
31/mrt/2026 |
0,21 |
-5,13 |
12,82 |
-9,86 |
-4,36 |
31/mrt/2026 |
-3,33 |
-3,47 |
7,25 |
-7,54 |
- |
6,33 |
31/mrt/2026 |
8,31 |
-23,17 |
8,17 |
7,21 |
-2,45 |
31/dec/2025 |
08/mei/2019 |
- |
109,26 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1990956846 |
BSF Emerging Markets Equity Strategies Fund |
BlackRock (Luxembourg) S.A. |
-4,55 |
21,55 |
17,18 |
10,24 |
- |
8,17 |
31/mrt/2026 |
21,55 |
14,15 |
15,97 |
13,66 |
-10,97 |
31/mrt/2026 |
-4,55 |
4,45 |
60,91 |
62,82 |
- |
71,81 |
31/mrt/2026 |
4,38 |
0,18 |
27,17 |
-1,61 |
43,87 |
31/dec/2025 |
08/mei/2019 |
- |
174,71 |
- |
1.422,04 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1990957067 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,39 |
4,60 |
6,46 |
1,49 |
- |
3,41 |
31/mrt/2026 |
4,60 |
-1,30 |
16,87 |
-7,67 |
-3,33 |
31/mrt/2026 |
-2,39 |
-1,43 |
20,66 |
7,69 |
- |
25,99 |
31/mrt/2026 |
9,36 |
-21,63 |
12,02 |
11,20 |
1,95 |
31/dec/2025 |
08/mei/2019 |
- |
129,86 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU1978683685 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,66 |
1,28 |
2,85 |
0,52 |
- |
1,71 |
31/mrt/2026 |
1,28 |
2,47 |
4,84 |
-3,36 |
-2,40 |
31/mrt/2026 |
-1,66 |
-1,21 |
8,81 |
2,62 |
- |
12,40 |
31/mrt/2026 |
1,75 |
-7,24 |
4,99 |
1,38 |
4,06 |
31/dec/2025 |
15/mei/2019 |
221.218,70 |
84,07 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1978683339 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,13 |
3,62 |
4,75 |
0,97 |
- |
1,40 |
31/mrt/2026 |
3,62 |
4,39 |
6,25 |
-3,87 |
-5,02 |
31/mrt/2026 |
-1,13 |
-0,08 |
14,93 |
4,94 |
- |
10,04 |
31/mrt/2026 |
-0,95 |
-8,55 |
6,23 |
3,29 |
6,32 |
31/dec/2025 |
15/mei/2019 |
2.727.849,35 |
7,68 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
NZD |
LU1978683412 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,42 |
2,57 |
4,96 |
1,37 |
- |
1,75 |
31/mrt/2026 |
2,57 |
4,77 |
7,60 |
-2,79 |
-4,78 |
31/mrt/2026 |
-1,42 |
-0,72 |
15,63 |
7,03 |
- |
12,68 |
31/mrt/2026 |
-0,74 |
-7,62 |
7,58 |
4,06 |
5,41 |
31/dec/2025 |
15/mei/2019 |
1.582.842,38 |
7,87 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU1978682877 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,46 |
2,22 |
4,31 |
0,81 |
- |
1,59 |
31/mrt/2026 |
2,22 |
4,15 |
6,60 |
-3,49 |
-4,95 |
31/mrt/2026 |
-1,46 |
-0,59 |
13,49 |
4,11 |
- |
11,42 |
31/mrt/2026 |
-0,90 |
-8,15 |
6,62 |
3,17 |
5,11 |
31/dec/2025 |
15/mei/2019 |
51.064.958,48 |
77,74 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1978683099 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,54 |
1,90 |
3,63 |
-0,05 |
- |
0,39 |
31/mrt/2026 |
1,90 |
3,38 |
5,66 |
-4,90 |
-5,77 |
31/mrt/2026 |
-1,54 |
-1,03 |
11,31 |
-0,25 |
- |
2,69 |
31/mrt/2026 |
-1,52 |
-9,51 |
5,41 |
2,77 |
4,45 |
31/dec/2025 |
15/mei/2019 |
6.902.404,60 |
7,14 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU1978683255 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,09 |
3,89 |
5,33 |
1,43 |
- |
1,67 |
31/mrt/2026 |
3,89 |
4,99 |
7,14 |
-3,34 |
-4,96 |
31/mrt/2026 |
-1,09 |
-0,05 |
16,87 |
7,36 |
- |
12,04 |
31/mrt/2026 |
-0,95 |
-8,21 |
7,13 |
4,02 |
6,68 |
31/dec/2025 |
15/mei/2019 |
1.988.522,77 |
7,82 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1978683172 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,75 |
1,39 |
3,53 |
0,51 |
- |
1,17 |
31/mrt/2026 |
1,39 |
3,19 |
6,07 |
-2,99 |
-4,73 |
31/mrt/2026 |
-1,75 |
-1,43 |
10,98 |
2,56 |
- |
8,33 |
31/mrt/2026 |
-0,67 |
-7,80 |
6,31 |
2,48 |
4,19 |
31/dec/2025 |
15/mei/2019 |
2.641.807,87 |
7,53 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU1978682950 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,43 |
2,34 |
4,48 |
1,09 |
- |
1,62 |
31/mrt/2026 |
2,34 |
4,03 |
7,13 |
-2,64 |
-4,93 |
31/mrt/2026 |
-1,43 |
-0,85 |
14,05 |
5,56 |
- |
11,71 |
31/mrt/2026 |
-0,88 |
-7,57 |
7,22 |
3,46 |
4,94 |
31/dec/2025 |
15/mei/2019 |
6.038.984,96 |
7,78 |
- |
195,53 |
30/apr/2026 |
Distributie |
| WFNS |
USD |
IE00BJ5JP097 |
iShares MSCI World Financials Sector Advanced UCITS ETF |
iShares V plc |
-6,85 |
14,47 |
20,79 |
- |
- |
10,95 |
31/mrt/2026 |
14,47 |
21,01 |
27,23 |
-7,24 |
- |
31/mrt/2026 |
-6,85 |
-2,16 |
76,24 |
- |
- |
65,78 |
31/mrt/2026 |
- |
-9,65 |
17,41 |
25,25 |
29,53 |
31/dec/2025 |
18/mei/2021 |
145.480.836,08 |
7,88 |
- |
145,48 |
01/mei/2026 |
Distributie |
| WITS |
USD |
IE00BJ5JNY98 |
iShares MSCI World Information Technology Sector Advanced UCITS ETF |
iShares V plc |
-9,22 |
24,16 |
22,68 |
14,17 |
- |
19,51 |
31/mrt/2026 |
24,16 |
-2,25 |
52,12 |
-8,27 |
14,54 |
31/mrt/2026 |
-9,22 |
-7,42 |
84,62 |
93,99 |
- |
216,04 |
31/mrt/2026 |
29,69 |
-32,47 |
59,71 |
26,01 |
22,91 |
31/dec/2025 |
16/okt/2019 |
906.310.033,81 |
18,14 |
- |
906,31 |
01/mei/2026 |
Distributie |
| WCDS |
USD |
IE00BJ5JP212 |
iShares MSCI World Consumer Discretionary Sector Advanced UCITS ETF |
iShares V plc |
-10,75 |
4,90 |
8,57 |
2,46 |
- |
8,25 |
31/mrt/2026 |
4,90 |
0,77 |
21,08 |
-13,18 |
1,61 |
31/mrt/2026 |
-10,75 |
-11,28 |
27,99 |
12,91 |
- |
66,82 |
31/mrt/2026 |
17,78 |
-33,34 |
36,01 |
15,09 |
6,58 |
31/dec/2025 |
16/okt/2019 |
89.947.810,31 |
8,82 |
- |
89,95 |
01/mei/2026 |
Distributie |
| WCSS |
USD |
IE00BJ5JP329 |
iShares MSCI World Consumer Staples Sector Advanced UCITS ETF |
iShares V plc |
1,09 |
2,64 |
3,01 |
3,84 |
- |
4,63 |
31/mrt/2026 |
2,64 |
2,83 |
3,55 |
0,78 |
9,62 |
31/mrt/2026 |
1,09 |
2,12 |
9,29 |
20,74 |
- |
33,95 |
31/mrt/2026 |
13,08 |
-6,09 |
3,49 |
2,34 |
5,61 |
31/dec/2025 |
17/okt/2019 |
103.380.430,78 |
6,08 |
- |
103,38 |
01/mei/2026 |
Distributie |
| WENS |
USD |
IE00BJ5JP105 |
iShares MSCI World Energy Sector UCITS ETF |
iShares V plc |
36,92 |
41,28 |
19,47 |
22,73 |
- |
15,42 |
31/mrt/2026 |
41,28 |
3,32 |
16,82 |
8,28 |
50,81 |
31/mrt/2026 |
36,92 |
39,81 |
70,53 |
178,47 |
- |
152,29 |
31/mrt/2026 |
40,60 |
46,49 |
2,83 |
2,98 |
13,70 |
31/dec/2025 |
17/okt/2019 |
1.333.638.408,21 |
9,69 |
- |
1.333,64 |
01/mei/2026 |
Distributie |
| - |
SGD |
LU1978683503 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
5,91 |
50,53 |
6,92 |
3,82 |
- |
11,68 |
31/mrt/2026 |
50,53 |
-16,25 |
-3,04 |
-0,63 |
-0,68 |
31/mrt/2026 |
5,91 |
12,68 |
22,23 |
20,64 |
- |
113,30 |
31/mrt/2026 |
15,34 |
-19,47 |
10,57 |
-10,82 |
29,27 |
31/dec/2025 |
22/mei/2019 |
62.766.296,13 |
23,68 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| WHCS |
USD |
IE00BJ5JNZ06 |
iShares MSCI World Health Care Sector Advanced UCITS ETF |
iShares V plc |
-5,31 |
4,40 |
2,95 |
4,27 |
- |
7,26 |
31/mrt/2026 |
4,40 |
-5,86 |
11,03 |
-1,16 |
14,26 |
31/mrt/2026 |
-5,31 |
4,46 |
9,12 |
23,24 |
- |
57,17 |
31/mrt/2026 |
19,69 |
-3,53 |
3,92 |
-5,14 |
15,12 |
31/dec/2025 |
17/okt/2019 |
572.328.650,37 |
7,37 |
- |
869,97 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU1965316703 |
BlackRock ESG Fixed Income Credit Strategies Fund |
BlackRock (Luxembourg) S.A. |
0,08 |
4,32 |
5,45 |
2,34 |
- |
2,30 |
31/mrt/2026 |
4,32 |
5,11 |
6,94 |
-1,69 |
-2,61 |
31/mrt/2026 |
0,08 |
0,77 |
17,27 |
12,28 |
- |
16,77 |
31/mrt/2026 |
-0,22 |
-4,75 |
6,43 |
5,38 |
5,49 |
31/dec/2025 |
11/jun/2019 |
- |
108,47 |
- |
553,63 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1965316539 |
BlackRock ESG Fixed Income Credit Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,01 |
3,95 |
5,05 |
1,94 |
- |
1,90 |
31/mrt/2026 |
3,95 |
4,71 |
6,51 |
-2,10 |
-2,99 |
31/mrt/2026 |
-0,01 |
0,58 |
15,93 |
10,10 |
- |
13,64 |
31/mrt/2026 |
-0,59 |
-5,13 |
5,99 |
4,98 |
5,11 |
31/dec/2025 |
11/jun/2019 |
- |
108,16 |
- |
553,63 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1992157872 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-3,46 |
26,74 |
10,86 |
0,13 |
- |
6,74 |
31/mrt/2026 |
26,74 |
8,44 |
-0,87 |
-10,66 |
-17,31 |
31/mrt/2026 |
-3,46 |
0,39 |
36,24 |
0,64 |
- |
56,40 |
31/mrt/2026 |
-4,68 |
-23,42 |
2,56 |
9,64 |
31,92 |
31/dec/2025 |
22/mei/2019 |
10.227.341,57 |
18,29 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1965316372 |
BlackRock ESG Fixed Income Credit Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,02 |
3,90 |
5,04 |
1,93 |
- |
1,89 |
31/mrt/2026 |
3,90 |
4,69 |
6,54 |
-2,11 |
-2,99 |
31/mrt/2026 |
-0,02 |
0,58 |
15,89 |
10,05 |
- |
13,58 |
31/mrt/2026 |
-0,59 |
-5,13 |
6,00 |
4,97 |
5,06 |
31/dec/2025 |
11/jun/2019 |
- |
113,70 |
- |
553,63 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1992155744 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,30 |
23,06 |
8,32 |
-2,45 |
- |
4,05 |
31/mrt/2026 |
23,06 |
6,38 |
-2,90 |
-14,34 |
-18,84 |
31/mrt/2026 |
-4,30 |
-1,06 |
27,11 |
-11,64 |
- |
31,30 |
31/mrt/2026 |
-5,86 |
-26,52 |
0,00 |
7,86 |
28,22 |
31/dec/2025 |
22/mei/2019 |
2.976.364,33 |
15,33 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1992156122 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,93 |
20,49 |
6,17 |
-3,58 |
- |
3,13 |
31/mrt/2026 |
20,49 |
4,27 |
-4,75 |
-14,57 |
-18,49 |
31/mrt/2026 |
-4,93 |
-2,22 |
19,67 |
-16,67 |
- |
23,50 |
31/mrt/2026 |
-6,21 |
-26,12 |
-1,71 |
5,74 |
25,87 |
31/dec/2025 |
22/mei/2019 |
11.430.416,75 |
14,41 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1965316612 |
BlackRock ESG Fixed Income Credit Strategies Fund |
BlackRock (Luxembourg) S.A. |
0,09 |
4,32 |
5,47 |
2,34 |
- |
2,29 |
31/mrt/2026 |
4,32 |
5,12 |
6,98 |
-1,74 |
-2,63 |
31/mrt/2026 |
0,09 |
0,78 |
17,31 |
12,25 |
- |
16,68 |
31/mrt/2026 |
-0,24 |
-4,77 |
6,43 |
5,40 |
5,47 |
31/dec/2025 |
11/jun/2019 |
- |
116,84 |
- |
553,63 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1965316885 |
BlackRock ESG Fixed Income Credit Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,15 |
3,38 |
4,52 |
1,42 |
- |
1,37 |
31/mrt/2026 |
3,38 |
4,17 |
6,03 |
-2,61 |
-3,50 |
31/mrt/2026 |
-0,15 |
0,32 |
14,18 |
7,31 |
- |
9,72 |
31/mrt/2026 |
-1,12 |
-5,62 |
5,49 |
4,44 |
4,54 |
31/dec/2025 |
11/jun/2019 |
- |
109,79 |
- |
553,63 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1992159068 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,65 |
5,90 |
6,31 |
2,83 |
- |
3,62 |
31/mrt/2026 |
5,90 |
6,21 |
6,84 |
-1,98 |
-2,40 |
31/mrt/2026 |
-0,65 |
0,80 |
20,16 |
14,95 |
- |
27,61 |
31/mrt/2026 |
0,61 |
-6,02 |
7,28 |
5,09 |
8,51 |
31/dec/2025 |
22/mei/2019 |
4.400.045,90 |
10,43 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU1992159654 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
3,52 |
4,21 |
0,88 |
- |
1,61 |
31/mrt/2026 |
3,52 |
4,36 |
4,77 |
-4,55 |
-3,28 |
31/mrt/2026 |
-1,15 |
-0,27 |
13,18 |
4,49 |
- |
11,60 |
31/mrt/2026 |
-0,28 |
-8,05 |
4,79 |
3,40 |
6,11 |
31/dec/2025 |
22/mei/2019 |
21.591.330,05 |
11,26 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU1992159902 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,72 |
1,28 |
1,82 |
-0,67 |
- |
0,39 |
31/mrt/2026 |
1,28 |
1,71 |
2,47 |
-5,17 |
-3,39 |
31/mrt/2026 |
-1,72 |
-1,34 |
5,55 |
-3,30 |
- |
2,70 |
31/mrt/2026 |
-0,47 |
-8,39 |
2,78 |
0,70 |
3,88 |
31/dec/2025 |
22/mei/2019 |
13.558.619,78 |
10,34 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1992160157 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,70 |
5,90 |
6,32 |
2,83 |
- |
3,61 |
31/mrt/2026 |
5,90 |
6,27 |
6,79 |
-2,03 |
-2,35 |
31/mrt/2026 |
-0,70 |
0,79 |
20,19 |
14,98 |
- |
27,40 |
31/mrt/2026 |
0,63 |
-5,92 |
7,24 |
5,07 |
8,54 |
31/dec/2025 |
29/mei/2019 |
86.283.418,94 |
12,88 |
- |
9.378,94 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1992161049 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,18 |
3,49 |
4,22 |
0,89 |
- |
1,61 |
31/mrt/2026 |
3,49 |
4,46 |
4,72 |
-4,52 |
-3,30 |
31/mrt/2026 |
-1,18 |
-0,32 |
13,20 |
4,52 |
- |
11,56 |
31/mrt/2026 |
-0,32 |
-8,04 |
4,83 |
3,34 |
6,20 |
31/dec/2025 |
29/mei/2019 |
602.378,27 |
9,33 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU1992160405 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,94 |
20,53 |
5,81 |
-0,69 |
- |
6,91 |
31/mrt/2026 |
20,53 |
17,91 |
-16,65 |
-9,44 |
-9,97 |
31/mrt/2026 |
-0,94 |
0,70 |
18,45 |
-3,43 |
- |
57,90 |
31/mrt/2026 |
1,19 |
-26,51 |
-12,69 |
16,45 |
25,12 |
31/dec/2025 |
29/mei/2019 |
21.700.533,40 |
17,43 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU1992158094 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-4,34 |
22,38 |
8,16 |
-1,77 |
- |
5,17 |
31/mrt/2026 |
22,38 |
6,27 |
-2,69 |
-12,14 |
-17,76 |
31/mrt/2026 |
-4,34 |
-1,26 |
26,55 |
-8,55 |
- |
41,10 |
31/mrt/2026 |
-5,05 |
-24,45 |
0,66 |
7,55 |
27,82 |
31/dec/2025 |
29/mei/2019 |
1.699.565,84 |
16,46 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU1992157955 |
BGF Asian Growth Leaders Fund |
BlackRock (Luxembourg) S.A. |
-3,87 |
25,30 |
10,02 |
-0,98 |
- |
5,49 |
31/mrt/2026 |
25,30 |
7,98 |
-1,57 |
-12,88 |
-17,97 |
31/mrt/2026 |
-3,87 |
-0,07 |
33,18 |
-4,82 |
- |
44,10 |
31/mrt/2026 |
-5,21 |
-25,18 |
1,55 |
9,14 |
30,80 |
31/dec/2025 |
29/mei/2019 |
691.686,09 |
16,84 |
- |
531,81 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1908247056 |
BlackRock ESG Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,26 |
1,39 |
3,66 |
-0,77 |
- |
-0,15 |
31/mrt/2026 |
1,39 |
3,22 |
6,41 |
-8,09 |
-6,01 |
31/mrt/2026 |
-1,26 |
-1,12 |
11,37 |
-3,80 |
- |
-0,98 |
31/mrt/2026 |
-1,87 |
-14,28 |
7,95 |
3,82 |
2,45 |
31/dec/2025 |
21/jun/2019 |
- |
99,85 |
- |
258,93 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU1908247130 |
BlackRock ESG Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
1,81 |
4,07 |
-0,37 |
- |
0,26 |
31/mrt/2026 |
1,81 |
3,64 |
6,83 |
-7,70 |
-5,64 |
31/mrt/2026 |
-1,15 |
-0,91 |
12,73 |
-1,82 |
- |
1,77 |
31/mrt/2026 |
-1,47 |
-13,93 |
8,40 |
4,23 |
2,87 |
31/dec/2025 |
21/jun/2019 |
- |
102,64 |
- |
258,93 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2026301205 |
BlackRock ESG Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,37 |
0,89 |
3,14 |
-1,26 |
- |
-0,79 |
31/mrt/2026 |
0,89 |
2,70 |
5,89 |
-8,54 |
-6,48 |
31/mrt/2026 |
-1,37 |
-1,36 |
9,72 |
-6,15 |
- |
-5,15 |
31/mrt/2026 |
-2,35 |
-14,71 |
7,42 |
3,30 |
1,94 |
31/dec/2025 |
17/jul/2019 |
- |
95,59 |
- |
258,93 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2028885262 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,36 |
17,45 |
3,32 |
-0,07 |
- |
4,92 |
31/mrt/2026 |
17,45 |
14,91 |
-18,28 |
-4,21 |
-5,69 |
31/mrt/2026 |
0,36 |
2,03 |
10,29 |
-0,36 |
- |
37,83 |
31/mrt/2026 |
2,17 |
-17,93 |
-17,29 |
18,15 |
16,53 |
31/dec/2025 |
24/jul/2019 |
14.391.519,04 |
11,98 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| GOVT |
USD |
IE00BK95B138 |
iShares $ Treasury Bond UCITS ETF |
iShares plc |
0,07 |
3,24 |
2,56 |
-0,17 |
- |
0,08 |
31/mrt/2026 |
3,24 |
4,58 |
-0,09 |
-4,56 |
-3,70 |
31/mrt/2026 |
0,07 |
0,85 |
7,86 |
-0,86 |
- |
0,54 |
31/mrt/2026 |
-2,49 |
-12,62 |
4,10 |
0,67 |
6,20 |
31/dec/2025 |
28/aug/2019 |
649.335.882,86 |
4,25 |
- |
678,76 |
01/mei/2026 |
Distributie |
| DHYD |
USD |
IE00BKF09C98 |
iShares $ High Yield Corp Bond ESG SRI UCITS ETF |
iShares II plc |
-0,90 |
6,64 |
8,19 |
3,61 |
- |
4,21 |
31/mrt/2026 |
6,64 |
7,83 |
10,15 |
-4,48 |
-1,30 |
31/mrt/2026 |
-0,90 |
0,61 |
26,65 |
19,39 |
- |
30,01 |
31/mrt/2026 |
4,15 |
-12,05 |
12,39 |
7,84 |
8,76 |
31/dec/2025 |
20/nov/2019 |
311.286.583,00 |
4,61 |
- |
1.882,13 |
01/mei/2026 |
Distributie |
| EHYD |
EUR |
IE00BKLC5874 |
iShares € High Yield Corp Bond ESG SRI UCITS ETF |
iShares II plc |
-1,70 |
3,46 |
6,62 |
2,11 |
- |
2,20 |
31/mrt/2026 |
3,46 |
6,85 |
9,62 |
-5,02 |
-3,55 |
31/mrt/2026 |
-1,70 |
-0,64 |
21,19 |
11,02 |
- |
14,86 |
31/mrt/2026 |
2,32 |
-10,98 |
10,81 |
7,12 |
5,91 |
31/dec/2025 |
20/nov/2019 |
434.329.832,10 |
4,53 |
- |
3.797,23 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU2038736463 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,02 |
3,05 |
3,63 |
-0,25 |
- |
0,44 |
31/mrt/2026 |
3,05 |
4,64 |
3,20 |
-2,78 |
-8,75 |
31/mrt/2026 |
0,02 |
-0,12 |
11,29 |
-1,26 |
- |
2,94 |
31/mrt/2026 |
-6,04 |
-7,42 |
1,68 |
6,83 |
3,40 |
31/dec/2025 |
28/aug/2019 |
10.416.808,21 |
8,35 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2038736380 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
3,37 |
1,46 |
1,14 |
-0,02 |
- |
1,96 |
31/mrt/2026 |
1,46 |
4,03 |
-1,98 |
-6,77 |
3,56 |
31/mrt/2026 |
3,37 |
4,92 |
3,46 |
-0,11 |
- |
13,61 |
31/mrt/2026 |
7,74 |
-7,07 |
-4,87 |
9,73 |
-4,41 |
31/dec/2025 |
28/aug/2019 |
13.570.129,98 |
9,17 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2047633727 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,31 |
12,05 |
6,14 |
0,96 |
- |
2,98 |
31/mrt/2026 |
12,05 |
4,19 |
2,42 |
-18,85 |
8,09 |
31/mrt/2026 |
1,31 |
1,92 |
19,57 |
4,88 |
- |
21,27 |
31/mrt/2026 |
13,88 |
-24,18 |
11,24 |
-3,57 |
15,26 |
31/dec/2025 |
04/sep/2019 |
- |
69,79 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2050411763 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
1,62 |
25,74 |
12,73 |
4,50 |
- |
6,07 |
31/mrt/2026 |
25,74 |
3,71 |
9,87 |
-4,80 |
-8,64 |
31/mrt/2026 |
1,62 |
7,18 |
43,27 |
24,61 |
- |
47,13 |
31/mrt/2026 |
7,36 |
-16,69 |
10,66 |
5,11 |
25,65 |
31/dec/2025 |
11/sep/2019 |
288.352,76 |
24,34 |
- |
208,01 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2041044178 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-4,39 |
-8,79 |
-0,75 |
-1,10 |
- |
2,75 |
31/mrt/2026 |
-8,79 |
-7,51 |
15,89 |
-7,71 |
4,87 |
31/mrt/2026 |
-4,39 |
-7,00 |
-2,24 |
-5,39 |
- |
19,28 |
31/mrt/2026 |
27,17 |
-22,54 |
11,56 |
8,84 |
-11,09 |
31/dec/2025 |
02/okt/2019 |
7.831.053,75 |
12,04 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2041044095 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,99 |
-2,71 |
1,17 |
-1,45 |
- |
3,57 |
31/mrt/2026 |
-2,71 |
-7,46 |
15,00 |
-9,34 |
-0,96 |
31/mrt/2026 |
-5,99 |
-8,59 |
3,55 |
-7,03 |
- |
25,60 |
31/mrt/2026 |
17,58 |
-26,99 |
15,51 |
2,07 |
0,45 |
31/dec/2025 |
02/okt/2019 |
16.172.643,52 |
14,07 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2041044848 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,72 |
-1,60 |
2,32 |
-0,31 |
- |
4,75 |
31/mrt/2026 |
-1,60 |
-6,34 |
16,24 |
-8,28 |
0,22 |
31/mrt/2026 |
-5,72 |
-8,03 |
7,13 |
-1,53 |
- |
35,20 |
31/mrt/2026 |
18,99 |
-26,18 |
16,84 |
3,22 |
1,63 |
31/dec/2025 |
02/okt/2019 |
7.579,75 |
15,16 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2041044251 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,77 |
-1,85 |
1,99 |
-0,62 |
- |
4,42 |
31/mrt/2026 |
-1,85 |
-6,71 |
15,87 |
-8,57 |
-0,07 |
31/mrt/2026 |
-5,77 |
-8,18 |
6,09 |
-3,07 |
- |
32,40 |
31/mrt/2026 |
18,63 |
-26,45 |
16,51 |
2,89 |
1,30 |
31/dec/2025 |
02/okt/2019 |
4.212.714,03 |
14,85 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2041044418 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,10 |
-3,18 |
0,67 |
-1,94 |
- |
3,06 |
31/mrt/2026 |
-3,18 |
-7,85 |
14,35 |
-9,83 |
-1,42 |
31/mrt/2026 |
-6,10 |
-8,78 |
2,01 |
-9,32 |
- |
21,60 |
31/mrt/2026 |
17,00 |
-27,42 |
14,97 |
1,57 |
0,00 |
31/dec/2025 |
02/okt/2019 |
16.036.597,44 |
13,62 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2041044335 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-4,17 |
-8,01 |
0,09 |
-0,28 |
- |
3,59 |
31/mrt/2026 |
-8,01 |
-6,80 |
16,94 |
-6,99 |
5,76 |
31/mrt/2026 |
-4,17 |
-6,59 |
0,26 |
-1,37 |
- |
25,74 |
31/mrt/2026 |
28,31 |
-21,99 |
12,48 |
9,86 |
-10,40 |
31/dec/2025 |
02/okt/2019 |
4.880.119,70 |
12,70 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2041044509 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-4,44 |
-9,21 |
-1,20 |
-1,57 |
- |
2,25 |
31/mrt/2026 |
-9,21 |
-7,92 |
15,36 |
-8,22 |
4,38 |
31/mrt/2026 |
-4,44 |
-7,21 |
-3,56 |
-7,62 |
- |
15,55 |
31/mrt/2026 |
26,60 |
-22,94 |
10,98 |
8,33 |
-11,54 |
31/dec/2025 |
02/okt/2019 |
113.649.366,16 |
11,65 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| SUOU |
USD |
IE00BK4W7N32 |
iShares $ Corp Bond ESG SRI UCITS ETF |
iShares II plc |
-0,66 |
4,48 |
4,52 |
0,65 |
- |
0,66 |
31/mrt/2026 |
4,48 |
4,78 |
4,31 |
-5,33 |
-4,47 |
31/mrt/2026 |
-0,66 |
0,18 |
14,19 |
3,27 |
- |
4,09 |
31/mrt/2026 |
-1,70 |
-15,27 |
8,51 |
1,95 |
7,62 |
31/dec/2025 |
03/mrt/2020 |
395.119.786,27 |
4,32 |
- |
1.961,84 |
01/mei/2026 |
Distributie |
| 36BA |
EUR |
IE00BH4G7D40 |
iShares $ Corp Bond ESG SRI UCITS ETF |
iShares II plc |
-1,15 |
2,19 |
2,39 |
-1,38 |
- |
-0,85 |
31/mrt/2026 |
2,19 |
2,85 |
2,12 |
-8,14 |
-5,37 |
31/mrt/2026 |
-1,15 |
-0,88 |
7,34 |
-6,69 |
- |
-4,87 |
31/mrt/2026 |
-2,57 |
-17,39 |
5,84 |
0,10 |
5,34 |
31/dec/2025 |
14/mei/2020 |
820.155.198,69 |
3,95 |
- |
1.961,84 |
01/mei/2026 |
Distributie |
| - |
GBP |
LU2066749115 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
1,39 |
31,83 |
13,17 |
5,74 |
- |
6,84 |
31/mrt/2026 |
31,83 |
2,16 |
7,60 |
-0,15 |
-8,66 |
31/mrt/2026 |
1,39 |
7,22 |
44,93 |
32,17 |
- |
53,08 |
31/mrt/2026 |
1,13 |
-11,47 |
9,43 |
0,92 |
33,49 |
31/dec/2025 |
23/okt/2019 |
26.219.089,22 |
14,63 |
- |
208,01 |
30/apr/2026 |
Distributie |
| CT2B |
USD |
IE00BKTLJB70 |
iShares Smart City Infrastructure UCITS ETF |
iShares IV plc |
0,03 |
22,44 |
12,89 |
7,16 |
- |
10,11 |
31/mrt/2026 |
22,44 |
2,02 |
15,17 |
-7,04 |
5,66 |
31/mrt/2026 |
0,03 |
0,66 |
43,86 |
41,30 |
- |
79,55 |
31/mrt/2026 |
21,77 |
-22,36 |
19,28 |
9,86 |
19,50 |
31/dec/2025 |
03/mrt/2020 |
41.912.617,67 |
9,94 |
- |
430,02 |
01/mei/2026 |
Distributie |
| - |
USD |
LU2070343392 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,68 |
5,84 |
6,15 |
2,08 |
- |
2,59 |
31/mrt/2026 |
5,84 |
7,02 |
5,58 |
0,10 |
-7,43 |
31/mrt/2026 |
0,68 |
1,12 |
19,59 |
10,82 |
- |
17,80 |
31/mrt/2026 |
-4,76 |
-5,00 |
4,33 |
9,10 |
6,07 |
31/dec/2025 |
30/okt/2019 |
13.834.302,59 |
11,96 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2070343558 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,16 |
11,39 |
5,51 |
0,36 |
- |
2,19 |
31/mrt/2026 |
11,39 |
3,56 |
1,82 |
-19,33 |
7,43 |
31/mrt/2026 |
1,16 |
1,63 |
17,45 |
1,79 |
- |
14,95 |
31/mrt/2026 |
13,20 |
-24,63 |
10,58 |
-4,15 |
14,58 |
31/dec/2025 |
30/okt/2019 |
- |
66,61 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2070343632 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,39 |
8,00 |
2,96 |
-1,55 |
- |
0,76 |
31/mrt/2026 |
8,00 |
1,26 |
-0,20 |
-20,97 |
7,25 |
31/mrt/2026 |
0,39 |
0,07 |
9,14 |
-7,49 |
- |
4,94 |
31/mrt/2026 |
13,09 |
-25,80 |
8,30 |
-6,24 |
11,37 |
31/dec/2025 |
13/nov/2019 |
- |
60,34 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2070343715 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,82 |
9,34 |
4,15 |
-0,67 |
- |
1,57 |
31/mrt/2026 |
9,34 |
2,54 |
0,76 |
-20,22 |
7,29 |
31/mrt/2026 |
0,82 |
1,05 |
12,97 |
-3,31 |
- |
10,46 |
31/mrt/2026 |
13,05 |
-25,20 |
9,30 |
-5,23 |
12,71 |
31/dec/2025 |
13/nov/2019 |
- |
63,55 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
EUR |
NL0014065450 |
1895 Wereld Aandelen Enhanced Index Fonds |
BlackRock Asset Management Ireland Limited |
-1,37 |
12,26 |
14,74 |
10,26 |
- |
10,35 |
31/mrt/2026 |
12,26 |
7,51 |
25,17 |
-5,18 |
13,75 |
31/mrt/2026 |
-1,37 |
1,96 |
51,08 |
62,94 |
- |
84,38 |
31/mrt/2026 |
27,89 |
-13,04 |
19,25 |
25,70 |
7,66 |
31/dec/2025 |
14/jan/2020 |
12.616.034.796,15 |
176,58 |
- |
12.616,03 |
29/apr/2026 |
Distributie |
| - |
SGD |
LU2077746001 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-2,12 |
10,67 |
5,30 |
3,04 |
- |
4,70 |
31/mrt/2026 |
10,67 |
-0,41 |
5,93 |
-7,51 |
7,55 |
31/mrt/2026 |
-2,12 |
1,06 |
16,75 |
16,15 |
- |
33,80 |
31/mrt/2026 |
15,70 |
-12,71 |
5,72 |
6,51 |
8,49 |
31/dec/2025 |
27/nov/2019 |
6.576.264,24 |
14,09 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2077746779 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,68 |
5,62 |
5,87 |
1,72 |
- |
2,07 |
31/mrt/2026 |
5,62 |
6,86 |
5,15 |
-0,76 |
-7,56 |
31/mrt/2026 |
0,68 |
1,09 |
18,68 |
8,88 |
- |
13,88 |
31/mrt/2026 |
-5,00 |
-5,55 |
3,64 |
8,79 |
5,99 |
31/dec/2025 |
27/nov/2019 |
10.606.577,73 |
8,20 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
NZD |
LU2077746340 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,22 |
4,26 |
5,49 |
1,69 |
- |
2,13 |
31/mrt/2026 |
4,26 |
6,77 |
5,45 |
-0,13 |
-7,26 |
31/mrt/2026 |
0,22 |
0,27 |
17,40 |
8,74 |
- |
14,29 |
31/mrt/2026 |
-4,63 |
-5,12 |
4,26 |
8,80 |
4,95 |
31/dec/2025 |
27/nov/2019 |
9.839.080,41 |
8,26 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
CAD |
LU2077746696 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,19 |
3,96 |
4,90 |
1,30 |
- |
1,84 |
31/mrt/2026 |
3,96 |
5,88 |
4,86 |
-0,12 |
-7,45 |
31/mrt/2026 |
0,19 |
0,23 |
15,42 |
6,69 |
- |
12,24 |
31/mrt/2026 |
-4,72 |
-5,23 |
3,76 |
8,16 |
4,32 |
31/dec/2025 |
27/nov/2019 |
10.221.152,46 |
8,08 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2087589425 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
1,85 |
26,74 |
13,59 |
5,28 |
- |
7,07 |
31/mrt/2026 |
26,74 |
4,46 |
10,71 |
-4,07 |
-8,00 |
31/mrt/2026 |
1,85 |
7,58 |
46,58 |
29,36 |
- |
53,99 |
31/mrt/2026 |
8,25 |
-16,07 |
11,51 |
5,90 |
26,52 |
31/dec/2025 |
04/dec/2019 |
0,00 |
27,13 |
- |
208,01 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2087589771 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,73 |
31,40 |
13,06 |
2,20 |
- |
4,98 |
31/mrt/2026 |
31,40 |
2,48 |
7,33 |
-9,52 |
-14,75 |
31/mrt/2026 |
-0,73 |
4,29 |
44,53 |
11,48 |
- |
36,00 |
31/mrt/2026 |
-1,25 |
-24,09 |
12,36 |
-2,48 |
39,23 |
31/dec/2025 |
04/dec/2019 |
5.231.289,09 |
16,14 |
- |
208,01 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2087589698 |
BGF Emerging Markets Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-0,92 |
30,35 |
12,21 |
1,42 |
- |
4,20 |
31/mrt/2026 |
30,35 |
1,63 |
6,64 |
-10,18 |
-15,47 |
31/mrt/2026 |
-0,92 |
3,93 |
41,29 |
7,28 |
- |
29,70 |
31/mrt/2026 |
-1,94 |
-24,72 |
11,63 |
-3,27 |
38,23 |
31/dec/2025 |
04/dec/2019 |
1.002.050,14 |
15,38 |
- |
208,01 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2087589342 |
BGF Asian Multi-Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
14,79 |
8,64 |
1,25 |
- |
3,04 |
31/mrt/2026 |
14,79 |
8,22 |
3,22 |
-7,19 |
-10,60 |
31/mrt/2026 |
-1,28 |
0,81 |
28,23 |
6,38 |
- |
20,83 |
31/mrt/2026 |
-5,03 |
-15,03 |
5,55 |
7,39 |
18,33 |
31/dec/2025 |
04/dec/2019 |
179.200.376,29 |
8,76 |
- |
652,50 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2091194634 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,03 |
14,21 |
11,67 |
6,81 |
- |
7,52 |
31/mrt/2026 |
14,21 |
8,50 |
12,36 |
-1,38 |
1,21 |
31/mrt/2026 |
-4,03 |
1,24 |
39,25 |
38,99 |
- |
57,94 |
31/mrt/2026 |
11,02 |
-16,98 |
18,02 |
1,29 |
31,98 |
31/dec/2025 |
11/dec/2019 |
11.976.204,29 |
38,53 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2091194550 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,59 |
12,26 |
9,99 |
8,47 |
- |
8,24 |
31/mrt/2026 |
12,26 |
6,87 |
10,92 |
5,39 |
7,05 |
31/mrt/2026 |
-2,59 |
3,07 |
33,07 |
50,13 |
- |
64,68 |
31/mrt/2026 |
13,09 |
-6,37 |
12,69 |
3,81 |
24,01 |
31/dec/2025 |
11/dec/2019 |
1.617.634,46 |
15,87 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2092937148 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-2,17 |
10,74 |
5,28 |
3,03 |
- |
4,72 |
31/mrt/2026 |
10,74 |
-0,41 |
5,81 |
-7,54 |
7,60 |
31/mrt/2026 |
-2,17 |
1,02 |
16,70 |
16,09 |
- |
33,60 |
31/mrt/2026 |
15,71 |
-12,76 |
5,82 |
6,48 |
8,49 |
31/dec/2025 |
18/dec/2019 |
14.037.036,60 |
12,06 |
- |
2.881,28 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2087589854 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,01 |
-2,90 |
1,28 |
-1,79 |
- |
2,57 |
31/mrt/2026 |
-2,90 |
-6,86 |
14,88 |
-11,52 |
-0,62 |
31/mrt/2026 |
-6,01 |
-8,57 |
3,90 |
-8,64 |
- |
17,30 |
31/mrt/2026 |
17,87 |
-28,48 |
15,02 |
2,48 |
0,65 |
31/dec/2025 |
18/dec/2019 |
3.869.860,23 |
13,15 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2087590357 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
-2,08 |
25,73 |
6,69 |
-4,28 |
- |
0,56 |
31/mrt/2026 |
25,73 |
-5,83 |
2,58 |
-15,04 |
-22,11 |
31/mrt/2026 |
-2,08 |
2,57 |
21,45 |
-19,63 |
- |
3,60 |
31/mrt/2026 |
-3,51 |
-30,40 |
6,45 |
-3,89 |
25,80 |
31/dec/2025 |
18/dec/2019 |
758.113,92 |
12,29 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2092627202 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,34 |
14,07 |
7,59 |
4,52 |
- |
6,04 |
31/mrt/2026 |
14,07 |
1,31 |
7,75 |
-6,83 |
7,53 |
31/mrt/2026 |
-1,34 |
2,56 |
24,53 |
24,76 |
- |
44,54 |
31/mrt/2026 |
15,76 |
-12,42 |
7,59 |
8,37 |
11,28 |
31/dec/2025 |
18/dec/2019 |
19.678.002,74 |
12,47 |
- |
2.881,28 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2087590274 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
-2,37 |
24,72 |
5,89 |
-5,00 |
- |
-0,18 |
31/mrt/2026 |
24,72 |
-6,49 |
1,80 |
-15,69 |
-22,69 |
31/mrt/2026 |
-2,37 |
2,17 |
18,73 |
-22,61 |
- |
-1,10 |
31/mrt/2026 |
-4,27 |
-30,90 |
5,47 |
-4,48 |
24,91 |
31/dec/2025 |
18/dec/2019 |
655.711,68 |
11,72 |
- |
815,74 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2092937221 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,69 |
-5,78 |
-1,17 |
-3,20 |
- |
0,95 |
31/mrt/2026 |
-5,78 |
-9,20 |
12,84 |
-10,80 |
-1,28 |
31/mrt/2026 |
-6,69 |
-9,94 |
-3,46 |
-15,00 |
- |
6,00 |
31/mrt/2026 |
17,30 |
-27,95 |
13,26 |
0,26 |
-2,49 |
31/dec/2025 |
08/jan/2020 |
459.722,10 |
11,85 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2099546561 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,54 |
8,34 |
2,92 |
-2,26 |
- |
-0,56 |
31/mrt/2026 |
8,34 |
1,33 |
-0,68 |
-22,98 |
6,20 |
31/mrt/2026 |
0,54 |
0,39 |
9,03 |
-10,82 |
- |
-3,42 |
31/mrt/2026 |
12,14 |
-27,62 |
7,30 |
-6,12 |
11,52 |
31/dec/2025 |
08/jan/2020 |
- |
57,18 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2099034311 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,75 |
3,44 |
8,14 |
3,13 |
- |
3,43 |
31/mrt/2026 |
3,44 |
8,56 |
12,62 |
-6,61 |
-1,23 |
31/mrt/2026 |
-1,75 |
-1,20 |
26,46 |
16,65 |
- |
23,30 |
31/mrt/2026 |
4,71 |
-12,30 |
12,46 |
9,87 |
6,36 |
31/dec/2025 |
15/jan/2020 |
285.420.057,42 |
12,59 |
- |
948,98 |
30/apr/2026 |
Kapitalisatie |
| UESD |
GBP |
IE00BJP26F04 |
iShares £ UltraShort Bond ESG SRI UCITS ETF |
iShares IV plc |
0,78 |
4,40 |
5,03 |
3,42 |
- |
2,95 |
31/mrt/2026 |
4,40 |
5,22 |
5,46 |
2,13 |
-0,03 |
31/mrt/2026 |
0,78 |
1,98 |
15,85 |
18,28 |
- |
19,21 |
31/mrt/2026 |
0,15 |
1,18 |
4,85 |
5,41 |
4,86 |
31/dec/2025 |
16/mrt/2020 |
209.886.509,71 |
5,03 |
- |
209,89 |
01/mei/2026 |
Distributie |
| UEDD |
USD |
IE00BJP26C72 |
iShares $ UltraShort Bond ESG SRI UCITS ETF |
iShares IV plc |
0,81 |
4,34 |
5,20 |
3,63 |
- |
3,28 |
31/mrt/2026 |
4,34 |
5,46 |
5,80 |
2,83 |
-0,14 |
31/mrt/2026 |
0,81 |
1,90 |
16,42 |
19,54 |
- |
21,53 |
31/mrt/2026 |
0,12 |
1,45 |
5,62 |
5,61 |
4,74 |
31/dec/2025 |
16/mrt/2020 |
6.472.338,72 |
5,03 |
- |
27,26 |
01/mei/2026 |
Distributie |
| EUED |
EUR |
IE00BJP26D89 |
iShares € UltraShort Bond ESG SRI UCITS ETF |
iShares IV plc |
0,41 |
2,31 |
3,34 |
1,97 |
- |
1,71 |
31/mrt/2026 |
2,31 |
3,76 |
3,96 |
0,40 |
-0,51 |
31/mrt/2026 |
0,41 |
0,98 |
10,35 |
10,23 |
- |
10,78 |
31/mrt/2026 |
-0,40 |
-0,39 |
3,48 |
4,07 |
2,66 |
31/dec/2025 |
16/mrt/2020 |
680.503.342,18 |
5,02 |
- |
1.366,93 |
01/mei/2026 |
Distributie |
| - |
USD |
LU2112291526 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,23 |
3,07 |
4,41 |
3,78 |
- |
4,90 |
31/mrt/2026 |
3,07 |
-2,18 |
12,89 |
-3,91 |
10,04 |
31/mrt/2026 |
-5,23 |
5,42 |
13,83 |
20,36 |
- |
34,20 |
31/mrt/2026 |
14,13 |
-5,21 |
2,16 |
1,95 |
13,10 |
31/dec/2025 |
05/feb/2020 |
74.488.427,42 |
13,25 |
- |
12.297,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2112291799 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-3,56 |
-3,40 |
2,43 |
4,15 |
- |
4,10 |
31/mrt/2026 |
-3,40 |
-2,27 |
13,85 |
-2,08 |
16,42 |
31/mrt/2026 |
-3,56 |
7,28 |
7,48 |
22,53 |
- |
28,05 |
31/mrt/2026 |
23,54 |
0,63 |
-1,42 |
8,84 |
0,00 |
31/dec/2025 |
05/feb/2020 |
443.150.442,12 |
11,33 |
- |
12.297,89 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2112292177 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,77 |
6,09 |
6,28 |
2,07 |
- |
2,25 |
31/mrt/2026 |
6,09 |
7,24 |
5,51 |
-0,43 |
-7,32 |
31/mrt/2026 |
0,77 |
1,33 |
20,04 |
10,78 |
- |
14,59 |
31/mrt/2026 |
-4,68 |
-5,19 |
4,05 |
9,18 |
6,34 |
31/dec/2025 |
19/feb/2020 |
675.219,35 |
9,26 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2112292250 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,77 |
6,23 |
6,52 |
2,43 |
- |
2,69 |
31/mrt/2026 |
6,23 |
7,37 |
5,96 |
0,41 |
-7,09 |
31/mrt/2026 |
0,77 |
1,29 |
20,86 |
12,75 |
- |
17,60 |
31/mrt/2026 |
-4,38 |
-4,78 |
4,71 |
9,49 |
6,48 |
31/dec/2025 |
19/feb/2020 |
6.481.448,64 |
11,95 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2112292417 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,19 |
3,82 |
4,53 |
0,60 |
- |
0,96 |
31/mrt/2026 |
3,82 |
5,69 |
4,09 |
-2,01 |
-7,97 |
31/mrt/2026 |
0,19 |
0,19 |
14,22 |
3,01 |
- |
6,00 |
31/mrt/2026 |
-5,20 |
-6,71 |
2,61 |
7,75 |
4,24 |
31/dec/2025 |
19/feb/2020 |
2.680.280,50 |
10,76 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2114397776 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,05 |
7,11 |
3,79 |
1,86 |
- |
2,85 |
31/mrt/2026 |
7,11 |
0,47 |
3,92 |
-1,82 |
-0,11 |
31/mrt/2026 |
0,05 |
2,09 |
11,82 |
9,66 |
- |
18,66 |
31/mrt/2026 |
1,32 |
-3,45 |
5,58 |
-0,25 |
7,97 |
31/dec/2025 |
26/feb/2020 |
- |
1.199,81 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2114397859 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
-0,26 |
6,11 |
2,88 |
1,39 |
- |
2,43 |
31/mrt/2026 |
6,11 |
-0,59 |
3,22 |
-1,60 |
-0,01 |
31/mrt/2026 |
-0,26 |
1,23 |
8,88 |
7,13 |
- |
15,76 |
31/mrt/2026 |
1,42 |
-3,20 |
5,04 |
-1,17 |
6,99 |
31/dec/2025 |
26/feb/2020 |
- |
116,98 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2114397693 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-1,74 |
9,69 |
11,77 |
9,36 |
- |
8,37 |
31/mrt/2026 |
9,69 |
10,12 |
15,60 |
3,53 |
8,18 |
31/mrt/2026 |
-1,74 |
4,17 |
39,64 |
56,40 |
- |
63,21 |
31/mrt/2026 |
20,96 |
-9,40 |
16,67 |
9,69 |
19,32 |
31/dec/2025 |
26/feb/2020 |
5.435.226,48 |
12,42 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2112292763 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-3,86 |
1,21 |
2,83 |
5,36 |
- |
6,12 |
31/mrt/2026 |
1,21 |
-3,61 |
11,47 |
2,61 |
16,34 |
31/mrt/2026 |
-3,86 |
7,27 |
8,74 |
29,81 |
- |
43,59 |
31/mrt/2026 |
16,29 |
6,83 |
-2,32 |
4,41 |
6,27 |
31/dec/2025 |
26/feb/2020 |
32.281.427,72 |
13,71 |
- |
12.297,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2125116769 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,20 |
7,58 |
4,27 |
2,06 |
- |
2,86 |
31/mrt/2026 |
7,58 |
1,07 |
4,26 |
-2,46 |
0,16 |
31/mrt/2026 |
0,20 |
1,90 |
13,36 |
10,75 |
- |
18,77 |
31/mrt/2026 |
1,37 |
-3,95 |
5,66 |
0,52 |
8,32 |
31/dec/2025 |
26/feb/2020 |
- |
119,94 |
- |
1.348,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
NL0014270340 |
1895 Wereld Multifactor Aandelen Fonds |
BlackRock Asset Management Ireland Limited |
-0,03 |
13,90 |
13,89 |
9,45 |
- |
13,79 |
31/mrt/2026 |
13,90 |
4,51 |
24,11 |
-4,99 |
11,91 |
31/mrt/2026 |
-0,03 |
3,63 |
47,74 |
57,08 |
- |
115,84 |
31/mrt/2026 |
28,86 |
-13,91 |
19,18 |
22,52 |
6,84 |
31/dec/2025 |
16/apr/2020 |
10.281.933.865,36 |
208,21 |
- |
10.281,93 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2125290366 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
-1,43 |
28,63 |
8,48 |
-2,44 |
- |
3,07 |
31/mrt/2026 |
28,63 |
-4,60 |
4,03 |
-12,34 |
-21,02 |
31/mrt/2026 |
-1,43 |
3,72 |
27,65 |
-11,62 |
- |
20,19 |
31/mrt/2026 |
-3,03 |
-28,08 |
8,47 |
-2,84 |
28,52 |
31/dec/2025 |
04/mrt/2020 |
27.415,15 |
13,92 |
- |
815,74 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2127174873 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,02 |
7,30 |
7,17 |
1,10 |
- |
2,03 |
31/mrt/2026 |
7,30 |
2,52 |
11,88 |
-14,37 |
0,23 |
31/mrt/2026 |
-3,02 |
-1,31 |
23,08 |
5,64 |
- |
13,00 |
31/mrt/2026 |
9,01 |
-21,06 |
10,36 |
7,56 |
9,22 |
31/dec/2025 |
04/mrt/2020 |
51.065,98 |
8,88 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2098887420 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,60 |
1,26 |
3,18 |
-0,19 |
- |
0,79 |
31/mrt/2026 |
1,26 |
3,81 |
4,51 |
-5,64 |
-4,44 |
31/mrt/2026 |
-1,60 |
-1,13 |
9,85 |
-0,95 |
- |
4,80 |
31/mrt/2026 |
-1,41 |
-9,51 |
4,31 |
3,02 |
4,21 |
31/dec/2025 |
24/apr/2020 |
334.926,91 |
10,62 |
- |
316,27 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2098887693 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,37 |
1,79 |
3,75 |
0,34 |
- |
1,31 |
31/mrt/2026 |
1,79 |
4,43 |
5,07 |
-5,29 |
-3,86 |
31/mrt/2026 |
-1,37 |
-0,83 |
11,69 |
1,69 |
- |
8,00 |
31/mrt/2026 |
-0,94 |
-8,97 |
4,67 |
3,67 |
4,68 |
31/dec/2025 |
24/apr/2020 |
4.039.240,17 |
10,94 |
- |
316,27 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2125116090 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
3,42 |
4,30 |
-5,83 |
- |
-3,28 |
31/mrt/2026 |
3,42 |
9,27 |
0,42 |
-9,55 |
-27,83 |
31/mrt/2026 |
-1,33 |
-0,73 |
13,47 |
-25,93 |
- |
-18,30 |
31/mrt/2026 |
-18,21 |
-21,28 |
-4,76 |
13,09 |
7,67 |
31/dec/2025 |
11/mrt/2020 |
3.224.843,42 |
8,35 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2125116173 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,25 |
3,74 |
4,92 |
-4,87 |
- |
-2,11 |
31/mrt/2026 |
3,74 |
10,16 |
1,08 |
-7,48 |
-27,08 |
31/mrt/2026 |
-1,25 |
-0,33 |
15,51 |
-22,07 |
- |
-12,12 |
31/mrt/2026 |
-17,52 |
-19,42 |
-3,88 |
13,65 |
8,31 |
31/dec/2025 |
11/mrt/2020 |
822.446,05 |
89,79 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU2125116256 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,92 |
5,01 |
5,18 |
-5,03 |
- |
-2,46 |
31/mrt/2026 |
5,01 |
10,23 |
0,54 |
-8,65 |
-27,31 |
31/mrt/2026 |
-0,92 |
0,12 |
16,37 |
-22,73 |
- |
-14,00 |
31/mrt/2026 |
-17,73 |
-20,57 |
-4,25 |
13,59 |
9,32 |
31/dec/2025 |
11/mrt/2020 |
2.797.519,20 |
8,80 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2125115951 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,90 |
5,48 |
6,00 |
-4,36 |
- |
-2,00 |
31/mrt/2026 |
5,48 |
10,98 |
1,75 |
-7,70 |
-27,22 |
31/mrt/2026 |
-0,90 |
0,23 |
19,11 |
-19,98 |
- |
-11,50 |
31/mrt/2026 |
-17,66 |
-19,80 |
-3,27 |
14,67 |
9,84 |
31/dec/2025 |
11/mrt/2020 |
225.874,01 |
9,06 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2125116504 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,24 |
3,76 |
4,92 |
-4,86 |
- |
-2,11 |
31/mrt/2026 |
3,76 |
10,15 |
1,07 |
-7,47 |
-27,08 |
31/mrt/2026 |
-1,24 |
-0,32 |
15,50 |
-22,07 |
- |
-12,13 |
31/mrt/2026 |
-17,52 |
-19,42 |
-3,89 |
13,65 |
8,33 |
31/dec/2025 |
11/mrt/2020 |
218.539.494,47 |
53,24 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2125116330 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,90 |
5,46 |
5,99 |
-4,38 |
- |
-2,00 |
31/mrt/2026 |
5,46 |
11,14 |
1,59 |
-7,71 |
-27,24 |
31/mrt/2026 |
-0,90 |
0,31 |
19,07 |
-20,04 |
- |
-11,53 |
31/mrt/2026 |
-17,71 |
-19,85 |
-3,18 |
14,55 |
9,95 |
31/dec/2025 |
11/mrt/2020 |
31.207.862,60 |
5,44 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2125116413 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,24 |
3,41 |
4,32 |
-5,81 |
- |
-3,27 |
31/mrt/2026 |
3,41 |
9,51 |
0,25 |
-9,53 |
-27,82 |
31/mrt/2026 |
-1,24 |
-0,65 |
13,54 |
-25,86 |
- |
-18,23 |
31/mrt/2026 |
-18,27 |
-21,24 |
-4,81 |
13,19 |
7,62 |
31/dec/2025 |
11/mrt/2020 |
15.331.837,77 |
5,33 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU1564328737 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,00 |
4,83 |
5,18 |
-5,03 |
- |
-2,48 |
31/mrt/2026 |
4,83 |
10,43 |
0,52 |
-8,79 |
-27,20 |
31/mrt/2026 |
-1,00 |
0,04 |
16,37 |
-22,73 |
- |
-14,08 |
31/mrt/2026 |
-17,73 |
-20,50 |
-4,29 |
13,59 |
9,36 |
31/dec/2025 |
11/mrt/2020 |
16.970.947,16 |
5,33 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU1564328810 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,57 |
2,74 |
4,12 |
-5,33 |
- |
-1,04 |
31/mrt/2026 |
2,74 |
9,20 |
0,60 |
-7,56 |
-27,13 |
31/mrt/2026 |
-1,57 |
-1,16 |
12,86 |
-23,97 |
- |
-6,10 |
31/mrt/2026 |
-17,51 |
-19,57 |
-4,26 |
12,96 |
7,31 |
31/dec/2025 |
18/mrt/2020 |
5.484.061,05 |
9,59 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2127175417 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
2,85 |
4,09 |
-5,33 |
- |
-1,04 |
31/mrt/2026 |
2,85 |
9,20 |
0,42 |
-7,45 |
-27,16 |
31/mrt/2026 |
-1,59 |
-1,15 |
12,79 |
-23,97 |
- |
-6,11 |
31/mrt/2026 |
-17,45 |
-19,56 |
-4,24 |
12,90 |
7,34 |
31/dec/2025 |
18/mrt/2020 |
94.928.107,95 |
5,76 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| SECD |
EUR |
IE00BLDGH447 |
iShares € Govt Bond Climate UCITS ETF |
iShares III plc |
-0,62 |
1,21 |
2,06 |
-2,54 |
- |
-2,51 |
31/mrt/2026 |
1,21 |
1,11 |
3,87 |
-11,51 |
-6,49 |
31/mrt/2026 |
-0,62 |
-0,34 |
6,29 |
-12,05 |
- |
-13,04 |
31/mrt/2026 |
-3,57 |
-18,34 |
7,22 |
1,93 |
0,49 |
31/dec/2025 |
01/okt/2020 |
119.918.696,87 |
4,05 |
- |
2.511,34 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU2144843237 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,74 |
0,69 |
2,66 |
-0,68 |
- |
0,27 |
31/mrt/2026 |
0,69 |
3,38 |
3,94 |
-6,10 |
-4,85 |
31/mrt/2026 |
-1,74 |
-1,36 |
8,20 |
-3,33 |
- |
1,60 |
31/mrt/2026 |
-1,89 |
-9,99 |
3,74 |
2,57 |
3,71 |
31/dec/2025 |
29/apr/2020 |
7.319.706,14 |
10,29 |
- |
316,27 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
NL0014857104 |
1895 Euro Obligaties Index Fonds |
BlackRock Asset Management Ireland Limited |
-0,63 |
1,41 |
2,71 |
-1,98 |
- |
-1,54 |
31/mrt/2026 |
1,41 |
1,96 |
4,80 |
-10,87 |
-6,34 |
31/mrt/2026 |
-0,63 |
-0,42 |
8,36 |
-9,54 |
- |
-8,58 |
31/mrt/2026 |
-2,97 |
-17,20 |
7,14 |
2,52 |
1,16 |
31/dec/2025 |
18/jun/2020 |
5.651.640.339,08 |
83,69 |
- |
5.651,64 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2123743770 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,06 |
18,32 |
8,49 |
3,53 |
- |
8,50 |
31/mrt/2026 |
18,32 |
-1,75 |
9,85 |
-9,95 |
3,43 |
31/mrt/2026 |
-5,06 |
-3,27 |
27,70 |
18,94 |
- |
59,50 |
31/mrt/2026 |
14,26 |
-19,67 |
12,67 |
6,75 |
17,98 |
31/dec/2025 |
10/jul/2020 |
7.033.807,82 |
17,64 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2123743937 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,76 |
15,34 |
6,07 |
4,34 |
- |
7,60 |
31/mrt/2026 |
15,34 |
-3,96 |
7,74 |
-4,55 |
8,53 |
31/mrt/2026 |
-3,76 |
-1,88 |
19,35 |
23,64 |
- |
52,09 |
31/mrt/2026 |
15,47 |
-10,09 |
6,94 |
8,49 |
9,94 |
31/dec/2025 |
10/jul/2020 |
179.700,56 |
13,05 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2123744075 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,69 |
9,60 |
5,22 |
2,66 |
- |
6,86 |
31/mrt/2026 |
9,60 |
-2,98 |
9,56 |
-9,45 |
8,11 |
31/mrt/2026 |
-3,69 |
-2,14 |
16,49 |
14,04 |
- |
46,20 |
31/mrt/2026 |
22,15 |
-15,85 |
7,57 |
12,54 |
3,12 |
31/dec/2025 |
10/jul/2020 |
22.467.567,22 |
15,93 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2123743424 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,55 |
10,10 |
5,74 |
3,17 |
- |
7,40 |
31/mrt/2026 |
10,10 |
-2,50 |
10,13 |
-8,98 |
8,61 |
31/mrt/2026 |
-3,55 |
-1,92 |
18,22 |
16,87 |
- |
50,45 |
31/mrt/2026 |
22,81 |
-15,38 |
8,08 |
13,08 |
3,61 |
31/dec/2025 |
10/jul/2020 |
19.010.472,73 |
14,50 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2123743853 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,42 |
10,91 |
6,47 |
3,89 |
- |
8,14 |
31/mrt/2026 |
10,91 |
-1,81 |
10,82 |
-8,32 |
9,36 |
31/mrt/2026 |
-3,42 |
-1,64 |
20,68 |
21,00 |
- |
56,45 |
31/mrt/2026 |
23,60 |
-14,78 |
8,85 |
13,86 |
4,37 |
31/dec/2025 |
10/jul/2020 |
2.022.064,83 |
15,09 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2123743341 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,19 |
17,46 |
7,76 |
2,82 |
- |
7,76 |
31/mrt/2026 |
17,46 |
-2,39 |
9,14 |
-10,58 |
2,70 |
31/mrt/2026 |
-5,19 |
-3,58 |
25,12 |
14,91 |
- |
53,40 |
31/mrt/2026 |
13,45 |
-20,22 |
11,94 |
5,99 |
17,16 |
31/dec/2025 |
10/jul/2020 |
1.038.696,59 |
16,95 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2123744232 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,31 |
11,18 |
6,73 |
4,13 |
- |
8,39 |
31/mrt/2026 |
11,18 |
-1,56 |
11,10 |
-8,20 |
9,69 |
31/mrt/2026 |
-3,31 |
-1,48 |
21,60 |
22,45 |
- |
58,60 |
31/mrt/2026 |
23,84 |
-14,57 |
9,07 |
14,16 |
4,54 |
31/dec/2025 |
10/jul/2020 |
7.673,29 |
15,29 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2168656341 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,56 |
1,26 |
2,90 |
2,29 |
- |
4,46 |
31/mrt/2026 |
1,26 |
-3,26 |
11,23 |
-6,33 |
9,72 |
31/mrt/2026 |
-5,56 |
4,71 |
8,95 |
11,98 |
- |
29,00 |
31/mrt/2026 |
14,04 |
-7,11 |
0,16 |
0,90 |
11,24 |
31/dec/2025 |
27/mei/2020 |
30.705.502,34 |
12,72 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2168656184 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,52 |
24,63 |
20,00 |
4,53 |
- |
12,19 |
31/mrt/2026 |
24,63 |
-2,12 |
41,66 |
-21,97 |
-7,46 |
31/mrt/2026 |
-9,52 |
-9,98 |
72,82 |
24,79 |
- |
95,80 |
31/mrt/2026 |
7,71 |
-45,02 |
47,08 |
31,59 |
16,47 |
31/dec/2025 |
27/mei/2020 |
13.723.227,83 |
24,79 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2183146781 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,55 |
17,34 |
3,28 |
-3,12 |
- |
1,40 |
31/mrt/2026 |
17,34 |
15,38 |
-18,62 |
-12,62 |
-11,35 |
31/mrt/2026 |
-1,55 |
-0,46 |
10,17 |
-14,66 |
- |
8,30 |
31/mrt/2026 |
0,00 |
-28,89 |
-15,11 |
14,14 |
21,68 |
31/dec/2025 |
02/jul/2020 |
3.459.225,93 |
11,92 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2190626999 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,75 |
4,51 |
4,55 |
-1,36 |
- |
2,32 |
31/mrt/2026 |
4,51 |
0,96 |
8,31 |
-28,41 |
14,14 |
31/mrt/2026 |
-0,75 |
-1,32 |
14,28 |
-6,61 |
- |
14,13 |
31/mrt/2026 |
26,60 |
-30,40 |
10,67 |
-2,10 |
5,67 |
31/dec/2025 |
24/jun/2020 |
126.656,39 |
104,25 |
- |
199,52 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2190626643 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-1,14 |
3,04 |
3,37 |
-2,20 |
- |
1,53 |
31/mrt/2026 |
3,04 |
-0,11 |
7,30 |
-28,95 |
14,04 |
31/mrt/2026 |
-1,14 |
-2,21 |
10,44 |
-10,51 |
- |
9,15 |
31/mrt/2026 |
26,61 |
-30,79 |
9,65 |
-3,01 |
4,18 |
31/dec/2025 |
24/jun/2020 |
441.900,41 |
9,93 |
- |
199,52 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2183146864 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-1,85 |
15,86 |
1,99 |
-4,32 |
- |
0,14 |
31/mrt/2026 |
15,86 |
13,87 |
-19,58 |
-13,71 |
-12,41 |
31/mrt/2026 |
-1,85 |
-1,08 |
6,10 |
-19,81 |
- |
0,80 |
31/mrt/2026 |
-1,23 |
-29,81 |
-16,15 |
12,80 |
20,12 |
31/dec/2025 |
02/jul/2020 |
2.913.949,80 |
11,09 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2197910974 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,00 |
18,48 |
8,73 |
3,75 |
- |
8,75 |
31/mrt/2026 |
18,48 |
-1,45 |
10,10 |
-9,70 |
3,57 |
31/mrt/2026 |
-5,00 |
-3,18 |
28,56 |
20,24 |
- |
61,60 |
31/mrt/2026 |
14,47 |
-19,54 |
13,03 |
6,99 |
18,21 |
31/dec/2025 |
10/jul/2020 |
1.117.228,86 |
17,88 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
NL0015436049 |
1895 Wereld Bedrijfsobligaties Fonds |
BlackRock Asset Management Ireland Limited |
-1,03 |
2,52 |
3,78 |
-0,70 |
- |
-0,81 |
31/mrt/2026 |
2,52 |
3,99 |
4,85 |
-8,78 |
-5,33 |
31/mrt/2026 |
-1,03 |
-0,63 |
11,79 |
-3,47 |
- |
-4,37 |
31/mrt/2026 |
-1,38 |
-17,48 |
7,27 |
2,88 |
4,84 |
31/dec/2025 |
24/sep/2020 |
4.838.850.447,57 |
80,56 |
- |
4.838,85 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2213651438 |
BSF European Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,49 |
2,18 |
4,58 |
4,95 |
- |
3,57 |
31/mrt/2026 |
2,18 |
-0,76 |
12,78 |
0,08 |
11,26 |
31/mrt/2026 |
-0,49 |
1,30 |
14,36 |
27,35 |
- |
21,66 |
31/mrt/2026 |
9,59 |
-3,01 |
6,76 |
8,68 |
0,47 |
31/dec/2025 |
26/aug/2020 |
- |
121,18 |
- |
426,18 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2215606471 |
BSF Global Event Driven Fund |
BlackRock (Luxembourg) S.A. |
0,49 |
9,31 |
5,28 |
2,84 |
- |
3,54 |
31/mrt/2026 |
9,31 |
1,88 |
4,80 |
-1,78 |
0,35 |
31/mrt/2026 |
0,49 |
2,87 |
16,70 |
15,02 |
- |
21,40 |
31/mrt/2026 |
1,65 |
-3,42 |
6,33 |
1,10 |
10,11 |
31/dec/2025 |
02/sep/2020 |
- |
119,46 |
- |
1.348,61 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2229008672 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,38 |
5,79 |
6,37 |
0,65 |
- |
1,06 |
31/mrt/2026 |
5,79 |
7,63 |
5,68 |
-5,88 |
-8,78 |
31/mrt/2026 |
-0,38 |
1,05 |
20,34 |
3,32 |
- |
5,90 |
31/mrt/2026 |
-2,62 |
-14,43 |
6,40 |
6,45 |
9,14 |
31/dec/2025 |
20/okt/2020 |
5.329,40 |
10,66 |
- |
121,92 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2197934644 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,48 |
5,54 |
6,12 |
0,45 |
- |
0,85 |
31/mrt/2026 |
5,54 |
7,36 |
5,48 |
-6,01 |
-8,98 |
31/mrt/2026 |
-0,48 |
0,87 |
19,52 |
2,25 |
- |
4,70 |
31/mrt/2026 |
-2,91 |
-14,57 |
6,31 |
6,15 |
8,90 |
31/dec/2025 |
20/okt/2020 |
199.223,60 |
10,54 |
- |
121,92 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2197934990 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,95 |
3,18 |
3,98 |
-1,58 |
- |
-1,11 |
31/mrt/2026 |
3,18 |
5,43 |
3,35 |
-8,82 |
-9,91 |
31/mrt/2026 |
-0,95 |
-0,21 |
12,43 |
-7,65 |
- |
-5,90 |
31/mrt/2026 |
-3,69 |
-16,95 |
3,89 |
4,33 |
6,50 |
31/dec/2025 |
20/okt/2020 |
4.729,75 |
9,46 |
- |
121,92 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2197934487 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,59 |
4,95 |
5,59 |
-0,10 |
- |
0,31 |
31/mrt/2026 |
4,95 |
6,84 |
4,98 |
-6,59 |
-9,49 |
31/mrt/2026 |
-0,59 |
0,59 |
17,71 |
-0,49 |
- |
1,70 |
31/mrt/2026 |
-3,39 |
-15,06 |
5,67 |
5,59 |
8,37 |
31/dec/2025 |
20/okt/2020 |
24.697,81 |
10,24 |
- |
121,92 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2197934560 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,52 |
4,90 |
5,56 |
-0,05 |
- |
0,33 |
31/mrt/2026 |
4,90 |
6,90 |
4,89 |
-6,33 |
-9,48 |
31/mrt/2026 |
-0,52 |
0,60 |
17,62 |
-0,27 |
- |
1,83 |
31/mrt/2026 |
-3,39 |
-14,99 |
5,71 |
5,62 |
8,32 |
31/dec/2025 |
20/okt/2020 |
66.623,51 |
7,78 |
- |
121,92 |
30/apr/2026 |
Distributie |
| - |
EUR |
NL0015602376 |
1895 Wereld Investment Grade Obligaties Fonds |
BlackRock Asset Management Ireland Limited |
-0,50 |
0,84 |
1,70 |
-1,12 |
- |
-1,23 |
31/mrt/2026 |
0,84 |
2,17 |
2,09 |
-7,06 |
-3,31 |
31/mrt/2026 |
-0,50 |
-0,51 |
5,18 |
-5,48 |
- |
-6,47 |
31/mrt/2026 |
-1,12 |
-12,39 |
4,69 |
1,04 |
1,89 |
31/dec/2025 |
12/nov/2020 |
2.299.564.261,20 |
83,61 |
- |
2.299,57 |
29/apr/2026 |
Distributie |
| - |
GBP |
LU2237457416 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
47,69 |
18,54 |
1,45 |
- |
5,45 |
31/mrt/2026 |
47,69 |
-11,14 |
26,94 |
-24,67 |
-14,39 |
31/mrt/2026 |
-1,15 |
4,49 |
66,58 |
7,44 |
- |
33,90 |
31/mrt/2026 |
3,46 |
-44,46 |
26,81 |
25,97 |
16,26 |
31/dec/2025 |
30/sep/2020 |
13.983.881,02 |
25,68 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2242189079 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,60 |
15,16 |
6,15 |
1,05 |
- |
4,94 |
31/mrt/2026 |
15,16 |
-3,34 |
7,46 |
-13,60 |
1,95 |
31/mrt/2026 |
-5,60 |
-4,42 |
19,61 |
5,35 |
- |
29,90 |
31/mrt/2026 |
13,05 |
-22,64 |
9,62 |
4,92 |
15,15 |
31/dec/2025 |
28/okt/2020 |
199.128,34 |
14,34 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2242189152 |
BGF Multi-Theme Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,80 |
14,35 |
5,41 |
0,34 |
- |
4,22 |
31/mrt/2026 |
14,35 |
-4,04 |
6,74 |
-14,22 |
1,22 |
31/mrt/2026 |
-5,80 |
-4,72 |
17,14 |
1,71 |
- |
25,10 |
31/mrt/2026 |
12,39 |
-23,18 |
8,79 |
4,22 |
14,38 |
31/dec/2025 |
28/okt/2020 |
5.824,36 |
13,80 |
- |
107,42 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2243823916 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,26 |
3,70 |
4,13 |
1,52 |
- |
1,68 |
31/mrt/2026 |
3,70 |
5,16 |
3,54 |
-0,08 |
-4,44 |
31/mrt/2026 |
0,26 |
0,20 |
12,91 |
7,82 |
- |
9,48 |
31/mrt/2026 |
-1,69 |
-4,00 |
2,38 |
6,74 |
4,25 |
31/dec/2025 |
21/okt/2020 |
20.669.842,15 |
83,54 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2243824054 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,71 |
6,12 |
6,50 |
2,42 |
- |
2,31 |
31/mrt/2026 |
6,12 |
7,41 |
5,98 |
0,45 |
-7,12 |
31/mrt/2026 |
0,71 |
1,26 |
20,79 |
12,69 |
- |
13,16 |
31/mrt/2026 |
-4,39 |
-4,73 |
4,78 |
9,42 |
6,43 |
31/dec/2025 |
04/nov/2020 |
361.893,41 |
8,64 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
SGD |
LU2250419038 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,05 |
3,51 |
4,42 |
-1,63 |
- |
-1,46 |
31/mrt/2026 |
3,51 |
5,23 |
4,53 |
-6,71 |
-13,28 |
31/mrt/2026 |
-1,05 |
-0,69 |
13,85 |
-7,89 |
- |
-7,61 |
31/mrt/2026 |
-7,06 |
-16,18 |
4,70 |
5,02 |
7,03 |
31/dec/2025 |
18/nov/2020 |
358.909,31 |
7,27 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2250418816 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-8,43 |
28,11 |
21,34 |
6,41 |
- |
8,12 |
31/mrt/2026 |
28,11 |
-2,31 |
42,73 |
-18,79 |
-5,97 |
31/mrt/2026 |
-8,43 |
-8,50 |
78,63 |
36,41 |
- |
52,04 |
31/mrt/2026 |
8,63 |
-43,08 |
50,15 |
31,67 |
18,29 |
31/dec/2025 |
18/nov/2020 |
101.618.849,39 |
1.014,28 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2250418907 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,65 |
23,16 |
18,18 |
4,52 |
- |
6,40 |
31/mrt/2026 |
23,16 |
-3,98 |
39,57 |
-20,99 |
-4,34 |
31/mrt/2026 |
-9,65 |
-10,35 |
65,05 |
24,75 |
- |
39,48 |
31/mrt/2026 |
10,48 |
-43,61 |
45,62 |
29,07 |
14,63 |
31/dec/2025 |
18/nov/2020 |
806.831.789,66 |
176,32 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| GRON |
EUR |
IE00BMDBMN04 |
iShares € Green Bond UCITS ETF |
iShares II plc |
-0,74 |
1,44 |
2,74 |
-2,94 |
- |
-3,00 |
31/mrt/2026 |
1,44 |
1,46 |
5,36 |
-13,62 |
-8,05 |
31/mrt/2026 |
-0,74 |
-0,56 |
8,44 |
-13,87 |
- |
-14,18 |
31/mrt/2026 |
- |
-21,59 |
8,14 |
2,37 |
1,00 |
31/dec/2025 |
25/mrt/2021 |
85.701.385,08 |
3,97 |
- |
144,83 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU2250419111 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,14 |
3,99 |
4,88 |
-5,38 |
- |
-4,50 |
31/mrt/2026 |
3,99 |
9,95 |
0,89 |
-9,13 |
-27,67 |
31/mrt/2026 |
-1,14 |
-0,38 |
15,36 |
-24,18 |
- |
-21,90 |
31/mrt/2026 |
-18,07 |
-20,99 |
-4,18 |
13,70 |
8,22 |
31/dec/2025 |
18/nov/2020 |
8.709.155,53 |
7,98 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU2250418659 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,46 |
24,70 |
19,43 |
4,27 |
- |
6,01 |
31/mrt/2026 |
24,70 |
-3,35 |
41,34 |
-21,73 |
-7,57 |
31/mrt/2026 |
-9,46 |
-9,76 |
70,36 |
23,24 |
- |
36,80 |
31/mrt/2026 |
7,42 |
-44,68 |
46,55 |
30,46 |
16,05 |
31/dec/2025 |
18/nov/2020 |
48.123.716,42 |
17,34 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU2250418493 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,51 |
12,74 |
6,25 |
3,33 |
- |
4,07 |
31/mrt/2026 |
12,74 |
0,27 |
6,10 |
-8,26 |
7,03 |
31/mrt/2026 |
-1,51 |
2,31 |
19,94 |
17,78 |
- |
23,90 |
31/mrt/2026 |
15,42 |
-13,53 |
5,64 |
7,03 |
10,16 |
31/dec/2025 |
18/nov/2020 |
3.723.027,52 |
13,08 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
ZAR |
LU2250418733 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
0,18 |
13,45 |
15,46 |
10,15 |
- |
11,49 |
31/mrt/2026 |
13,45 |
11,73 |
21,43 |
-4,99 |
10,88 |
31/mrt/2026 |
0,18 |
2,29 |
53,92 |
62,15 |
- |
79,27 |
31/mrt/2026 |
21,67 |
-12,79 |
18,56 |
19,60 |
14,40 |
31/dec/2025 |
18/nov/2020 |
313.799.454,28 |
112,42 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU2250418576 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,04 |
15,96 |
10,14 |
7,59 |
- |
8,37 |
31/mrt/2026 |
15,96 |
4,02 |
10,76 |
-4,25 |
12,71 |
31/mrt/2026 |
-1,04 |
3,48 |
33,61 |
44,19 |
- |
53,94 |
31/mrt/2026 |
20,99 |
-9,47 |
10,38 |
11,35 |
13,59 |
31/dec/2025 |
18/nov/2020 |
22.552.250,20 |
162,81 |
- |
2.881,28 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2252214056 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,23 |
2,09 |
2,97 |
-2,56 |
- |
-2,36 |
31/mrt/2026 |
2,09 |
4,48 |
2,36 |
-9,74 |
-10,88 |
31/mrt/2026 |
-1,23 |
-0,68 |
9,18 |
-12,18 |
- |
-12,00 |
31/mrt/2026 |
-4,73 |
-17,70 |
2,89 |
3,30 |
5,44 |
31/dec/2025 |
25/nov/2020 |
238.871,82 |
8,84 |
- |
121,92 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2252214130 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,02 |
3,00 |
3,61 |
-0,24 |
- |
-0,35 |
31/mrt/2026 |
3,00 |
4,65 |
3,17 |
-2,81 |
-8,60 |
31/mrt/2026 |
-0,02 |
-0,21 |
11,22 |
-1,20 |
- |
-1,85 |
31/mrt/2026 |
-5,99 |
-7,47 |
1,75 |
6,73 |
3,42 |
31/dec/2025 |
25/nov/2020 |
135.437,15 |
8,26 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2256991352 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,94 |
11,48 |
5,57 |
2,65 |
- |
3,40 |
31/mrt/2026 |
11,48 |
-0,17 |
5,72 |
-9,20 |
6,67 |
31/mrt/2026 |
-1,94 |
1,48 |
17,64 |
13,94 |
- |
19,64 |
31/mrt/2026 |
14,94 |
-14,29 |
5,11 |
6,79 |
9,13 |
31/dec/2025 |
18/nov/2020 |
249.428.246,74 |
12,28 |
- |
2.881,28 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2267099674 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
3,56 |
2,04 |
1,68 |
0,51 |
- |
1,07 |
31/mrt/2026 |
2,04 |
4,58 |
-1,50 |
-6,27 |
4,11 |
31/mrt/2026 |
3,56 |
5,27 |
5,11 |
2,57 |
- |
5,83 |
31/mrt/2026 |
8,35 |
-6,59 |
-4,50 |
10,37 |
-3,91 |
31/dec/2025 |
09/dec/2020 |
3.617.659,28 |
14,10 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU1564328497 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,88 |
6,29 |
6,87 |
-3,40 |
- |
-3,07 |
31/mrt/2026 |
6,29 |
11,90 |
2,63 |
-5,94 |
-26,73 |
31/mrt/2026 |
-0,88 |
0,47 |
22,06 |
-15,87 |
- |
-15,21 |
31/mrt/2026 |
-17,18 |
-18,33 |
-2,14 |
15,50 |
10,79 |
31/dec/2025 |
16/dec/2020 |
87.556.871,06 |
5,34 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2278361055 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,21 |
47,39 |
19,15 |
-1,72 |
- |
-1,88 |
31/mrt/2026 |
47,39 |
-9,84 |
27,29 |
-32,11 |
-20,16 |
31/mrt/2026 |
-3,21 |
1,69 |
69,16 |
-8,31 |
- |
-9,50 |
31/mrt/2026 |
1,10 |
-52,67 |
30,54 |
22,28 |
22,54 |
31/dec/2025 |
30/dec/2020 |
16.064.876,81 |
11,94 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2278360750 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,38 |
51,48 |
21,33 |
0,74 |
- |
0,51 |
31/mrt/2026 |
51,48 |
-8,99 |
29,57 |
-28,84 |
-18,38 |
31/mrt/2026 |
-2,38 |
3,11 |
78,61 |
3,74 |
- |
2,70 |
31/mrt/2026 |
2,40 |
-50,34 |
33,86 |
24,12 |
24,65 |
31/dec/2025 |
30/dec/2020 |
132.353.651,56 |
13,59 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
NL00150004M2 |
1895 Aandelen Macro Opportunities Fonds |
BlackRock Asset Management Ireland Limited |
-1,52 |
10,39 |
11,53 |
6,70 |
- |
6,93 |
31/mrt/2026 |
10,39 |
5,20 |
19,44 |
-4,93 |
4,87 |
31/mrt/2026 |
-1,52 |
1,68 |
38,72 |
38,31 |
- |
41,67 |
31/mrt/2026 |
- |
-15,22 |
15,28 |
20,42 |
5,76 |
31/dec/2025 |
19/jan/2021 |
4.017.583.398,38 |
145,08 |
- |
4.017,58 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2261177500 |
BlackRock Euro Short Duration Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,85 |
1,77 |
3,35 |
1,01 |
- |
0,99 |
31/mrt/2026 |
1,77 |
4,31 |
3,98 |
-2,31 |
-2,47 |
31/mrt/2026 |
-0,85 |
-0,20 |
10,38 |
5,17 |
- |
5,16 |
31/mrt/2026 |
- |
-4,93 |
4,78 |
3,73 |
3,52 |
31/dec/2025 |
19/feb/2021 |
- |
105,88 |
- |
119,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2255697893 |
BlackRock Euro Short Duration Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,93 |
1,46 |
3,04 |
0,71 |
- |
0,68 |
31/mrt/2026 |
1,46 |
4,00 |
3,68 |
-2,59 |
-2,78 |
31/mrt/2026 |
-0,93 |
-0,36 |
9,40 |
3,60 |
- |
3,55 |
31/mrt/2026 |
- |
-5,22 |
4,48 |
3,41 |
3,22 |
31/dec/2025 |
19/feb/2021 |
- |
104,24 |
- |
119,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2255697976 |
BlackRock Euro Short Duration Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,12 |
0,65 |
2,21 |
-0,10 |
- |
-0,12 |
31/mrt/2026 |
0,65 |
3,17 |
2,83 |
-3,36 |
-3,54 |
31/mrt/2026 |
-1,12 |
-0,76 |
6,77 |
-0,48 |
- |
-0,62 |
31/mrt/2026 |
- |
-5,98 |
3,64 |
2,58 |
2,38 |
31/dec/2025 |
19/feb/2021 |
- |
99,97 |
- |
119,06 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2255697620 |
BlackRock Euro Short Duration Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,01 |
1,10 |
2,68 |
0,36 |
- |
0,33 |
31/mrt/2026 |
1,10 |
3,64 |
3,31 |
-2,94 |
-3,09 |
31/mrt/2026 |
-1,01 |
-0,53 |
8,25 |
1,81 |
- |
1,72 |
31/mrt/2026 |
- |
-5,55 |
4,11 |
3,04 |
2,85 |
31/dec/2025 |
19/feb/2021 |
- |
102,36 |
- |
119,06 |
30/apr/2026 |
Kapitalisatie |
| CGBI |
USD |
IE00BMC7BF44 |
iShares China CNY Govt Bond UCITS ETF |
iShares IV plc |
1,97 |
7,01 |
3,92 |
- |
- |
2,79 |
31/mrt/2026 |
7,01 |
4,60 |
0,26 |
-4,54 |
- |
31/mrt/2026 |
1,97 |
4,27 |
12,22 |
- |
- |
14,49 |
31/mrt/2026 |
- |
-5,44 |
2,43 |
4,68 |
4,79 |
31/dec/2025 |
26/apr/2021 |
18.338.930,67 |
5,32 |
- |
18,34 |
01/mei/2026 |
Distributie |
| - |
HKD |
LU2290526081 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,48 |
9,95 |
11,55 |
6,36 |
- |
6,81 |
31/mrt/2026 |
9,95 |
7,99 |
16,90 |
-7,92 |
6,48 |
31/mrt/2026 |
-0,48 |
0,81 |
38,80 |
36,09 |
- |
39,95 |
31/mrt/2026 |
- |
-15,53 |
14,29 |
15,32 |
10,75 |
31/dec/2025 |
24/feb/2021 |
54.394.394,00 |
148,58 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2290526321 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,30 |
46,38 |
18,67 |
-1,18 |
- |
-3,16 |
31/mrt/2026 |
46,38 |
-10,36 |
27,36 |
-30,41 |
-18,98 |
31/mrt/2026 |
-3,30 |
1,43 |
67,13 |
-5,77 |
- |
-15,10 |
31/mrt/2026 |
- |
-51,24 |
31,19 |
22,09 |
21,27 |
31/dec/2025 |
24/feb/2021 |
10.037.457,22 |
11,20 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2290526164 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
3,63 |
2,37 |
2,02 |
0,85 |
- |
1,05 |
31/mrt/2026 |
2,37 |
4,97 |
-1,19 |
-5,95 |
4,46 |
31/mrt/2026 |
3,63 |
5,40 |
6,18 |
4,32 |
- |
5,47 |
31/mrt/2026 |
- |
-6,27 |
-4,16 |
10,71 |
-3,57 |
31/dec/2025 |
24/feb/2021 |
520.605,90 |
14,39 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2290526248 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,69 |
7,58 |
8,68 |
1,51 |
- |
0,96 |
31/mrt/2026 |
7,58 |
5,97 |
12,59 |
-10,50 |
-6,16 |
31/mrt/2026 |
-2,69 |
0,67 |
28,36 |
7,80 |
- |
5,00 |
31/mrt/2026 |
- |
-18,47 |
11,01 |
6,80 |
12,63 |
31/dec/2025 |
24/feb/2021 |
42.290.843,71 |
10,82 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU2297183985 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-2,61 |
1,15 |
4,09 |
-1,03 |
- |
-1,04 |
31/mrt/2026 |
1,15 |
4,71 |
6,47 |
-9,85 |
-6,60 |
31/mrt/2026 |
-2,61 |
-2,23 |
12,77 |
-5,05 |
- |
-5,16 |
31/mrt/2026 |
- |
-15,31 |
3,72 |
5,02 |
5,49 |
31/dec/2025 |
10/mrt/2021 |
31.478.929,66 |
96,70 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2298464004 |
BlackRock ESG Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
1,83 |
4,08 |
-0,38 |
- |
-0,37 |
31/mrt/2026 |
1,83 |
3,65 |
6,83 |
-7,72 |
-5,70 |
31/mrt/2026 |
-1,15 |
-0,91 |
12,76 |
-1,87 |
- |
-1,85 |
31/mrt/2026 |
- |
-13,94 |
8,40 |
4,25 |
2,87 |
31/dec/2025 |
24/feb/2021 |
- |
91,82 |
- |
258,93 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2298379152 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
1,71 |
4,24 |
2,52 |
-0,71 |
- |
-0,83 |
31/mrt/2026 |
4,24 |
4,24 |
-0,84 |
-9,63 |
-0,91 |
31/mrt/2026 |
1,71 |
3,13 |
7,74 |
-3,52 |
- |
-4,14 |
31/mrt/2026 |
- |
-12,55 |
-2,50 |
6,78 |
2,66 |
31/dec/2025 |
24/feb/2021 |
2.632.074,59 |
12,19 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
CNH |
LU2298321402 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,54 |
-5,70 |
-1,71 |
-3,04 |
- |
-2,89 |
31/mrt/2026 |
-5,70 |
-9,84 |
11,68 |
-11,03 |
1,44 |
31/mrt/2026 |
-6,54 |
-9,71 |
-5,06 |
-14,31 |
- |
-13,80 |
31/mrt/2026 |
- |
-27,38 |
12,09 |
-0,86 |
-2,46 |
31/dec/2025 |
10/mrt/2021 |
586.688,30 |
96,26 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2298321311 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,33 |
-4,55 |
-0,20 |
-2,50 |
- |
-2,38 |
31/mrt/2026 |
-4,55 |
-8,40 |
13,69 |
-10,38 |
-1,10 |
31/mrt/2026 |
-6,33 |
-9,12 |
-0,60 |
-11,89 |
- |
-11,48 |
31/mrt/2026 |
- |
-27,63 |
14,13 |
0,89 |
-1,21 |
31/dec/2025 |
10/mrt/2021 |
10.097.037,11 |
99,02 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
NZD |
LU2298321238 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,64 |
-5,11 |
-0,15 |
-2,80 |
- |
-2,67 |
31/mrt/2026 |
-5,11 |
-8,19 |
14,27 |
-11,43 |
-1,59 |
31/mrt/2026 |
-6,64 |
-9,64 |
-0,46 |
-13,23 |
- |
-12,80 |
31/mrt/2026 |
- |
-28,52 |
14,44 |
1,50 |
-1,58 |
31/dec/2025 |
10/mrt/2021 |
14.793,96 |
9,77 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2298320859 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,70 |
-5,41 |
-1,11 |
-3,92 |
- |
-3,80 |
31/mrt/2026 |
-5,41 |
-9,10 |
12,47 |
-13,09 |
-2,59 |
31/mrt/2026 |
-6,70 |
-9,77 |
-3,29 |
-18,13 |
- |
-17,80 |
31/mrt/2026 |
- |
-29,88 |
12,28 |
0,33 |
-2,00 |
31/dec/2025 |
10/mrt/2021 |
2.039.858,62 |
9,19 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2298321154 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,18 |
-3,72 |
0,42 |
-2,58 |
- |
-2,47 |
31/mrt/2026 |
-3,72 |
-7,67 |
13,91 |
-12,12 |
-1,39 |
31/mrt/2026 |
-6,18 |
-8,89 |
1,26 |
-12,25 |
- |
-11,90 |
31/mrt/2026 |
- |
-29,02 |
14,04 |
1,62 |
-0,21 |
31/dec/2025 |
10/mrt/2021 |
741.220,05 |
9,87 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU2298321071 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,50 |
-4,67 |
-0,26 |
-2,69 |
- |
-2,56 |
31/mrt/2026 |
-4,67 |
-8,73 |
14,03 |
-10,62 |
-1,59 |
31/mrt/2026 |
-6,50 |
-9,49 |
-0,79 |
-12,74 |
- |
-12,30 |
31/mrt/2026 |
- |
-28,03 |
14,44 |
0,95 |
-1,47 |
31/dec/2025 |
10/mrt/2021 |
333.139,56 |
9,83 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU2298320933 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,04 |
-4,15 |
-0,50 |
-3,16 |
- |
-3,05 |
31/mrt/2026 |
-4,15 |
-8,79 |
12,67 |
-11,97 |
-1,79 |
31/mrt/2026 |
-6,04 |
-8,75 |
-1,50 |
-14,84 |
- |
-14,50 |
31/mrt/2026 |
- |
-28,75 |
12,67 |
0,44 |
-1,09 |
31/dec/2025 |
10/mrt/2021 |
81.571,29 |
9,58 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2290525943 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,86 |
3,85 |
4,73 |
-1,73 |
- |
-1,99 |
31/mrt/2026 |
3,85 |
5,68 |
4,66 |
-7,44 |
-13,79 |
31/mrt/2026 |
-0,86 |
-0,19 |
14,86 |
-8,35 |
- |
-9,72 |
31/mrt/2026 |
- |
-16,73 |
4,48 |
5,19 |
7,48 |
31/dec/2025 |
24/feb/2021 |
9.394.985,30 |
90,91 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2290526834 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,01 |
47,46 |
18,69 |
-1,24 |
- |
-2,74 |
31/mrt/2026 |
47,46 |
-10,76 |
27,04 |
-30,32 |
-19,33 |
31/mrt/2026 |
-3,01 |
2,03 |
67,19 |
-6,03 |
- |
-13,13 |
31/mrt/2026 |
- |
-51,26 |
31,10 |
21,51 |
21,70 |
31/dec/2025 |
03/mrt/2021 |
49.567.343,17 |
114,74 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2290526594 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,08 |
46,58 |
18,05 |
-1,02 |
- |
-2,49 |
31/mrt/2026 |
46,58 |
-11,00 |
26,12 |
-30,84 |
-16,52 |
31/mrt/2026 |
-3,08 |
1,70 |
64,53 |
-5,01 |
- |
-12,01 |
31/mrt/2026 |
- |
-51,00 |
29,95 |
20,86 |
21,09 |
31/dec/2025 |
03/mrt/2021 |
37.422,76 |
115,92 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2290526677 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,29 |
45,40 |
17,10 |
-1,83 |
- |
-3,28 |
31/mrt/2026 |
45,40 |
-11,72 |
25,09 |
-31,39 |
-17,21 |
31/mrt/2026 |
-3,29 |
1,28 |
60,55 |
-8,80 |
- |
-15,58 |
31/mrt/2026 |
- |
-51,39 |
28,90 |
19,89 |
20,10 |
31/dec/2025 |
03/mrt/2021 |
5.085.115,44 |
111,15 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
NL00150007T0 |
1895 Aandelen Thematic Opportunities Fonds |
BlackRock Asset Management Ireland Limited |
-2,92 |
9,15 |
1,56 |
0,80 |
- |
1,25 |
31/mrt/2026 |
9,15 |
-10,58 |
7,31 |
-3,02 |
2,46 |
31/mrt/2026 |
-2,92 |
-0,12 |
4,74 |
4,08 |
- |
6,49 |
31/mrt/2026 |
- |
-17,68 |
8,03 |
4,52 |
2,86 |
31/dec/2025 |
11/mrt/2021 |
1.304.847.138,51 |
110,20 |
- |
1.304,85 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2298322475 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,79 |
23,19 |
18,52 |
3,23 |
- |
2,67 |
31/mrt/2026 |
23,19 |
-3,44 |
39,94 |
-22,92 |
-8,62 |
31/mrt/2026 |
-9,79 |
-10,50 |
66,47 |
17,25 |
- |
14,20 |
31/mrt/2026 |
- |
-45,67 |
45,28 |
29,87 |
15,09 |
31/dec/2025 |
17/mrt/2021 |
46.276.088,53 |
14,44 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2298322558 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,87 |
0,00 |
1,59 |
0,99 |
- |
1,14 |
31/mrt/2026 |
0,00 |
-4,51 |
9,80 |
-7,42 |
8,23 |
31/mrt/2026 |
-5,87 |
4,03 |
4,85 |
5,06 |
- |
5,90 |
31/mrt/2026 |
- |
-8,30 |
-1,06 |
-0,39 |
9,86 |
31/dec/2025 |
17/mrt/2021 |
54.889.067,16 |
10,43 |
- |
12.297,89 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2298322129 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,40 |
52,90 |
8,12 |
4,68 |
- |
5,28 |
31/mrt/2026 |
52,90 |
-15,44 |
-2,25 |
0,06 |
-0,58 |
31/mrt/2026 |
6,40 |
13,75 |
26,39 |
25,72 |
- |
29,57 |
31/mrt/2026 |
- |
-18,99 |
11,42 |
-10,10 |
31,12 |
31/dec/2025 |
17/mrt/2021 |
73.089.730,71 |
143,98 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU2298321741 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,24 |
52,45 |
7,89 |
4,36 |
- |
4,96 |
31/mrt/2026 |
52,45 |
-15,79 |
-2,17 |
-0,29 |
-1,16 |
31/mrt/2026 |
6,24 |
13,32 |
25,59 |
23,76 |
- |
27,60 |
31/mrt/2026 |
- |
-19,63 |
11,67 |
-10,16 |
30,54 |
31/dec/2025 |
17/mrt/2021 |
1.448.964,35 |
14,19 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU2298321584 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,37 |
52,78 |
7,50 |
3,69 |
- |
4,30 |
31/mrt/2026 |
52,78 |
-15,90 |
-3,32 |
-1,78 |
-1,75 |
31/mrt/2026 |
6,37 |
13,92 |
24,22 |
19,88 |
- |
23,60 |
31/mrt/2026 |
- |
-20,60 |
9,98 |
-10,58 |
31,00 |
31/dec/2025 |
17/mrt/2021 |
4.869.699,88 |
13,75 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2298321824 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,41 |
53,73 |
8,58 |
4,41 |
- |
5,01 |
31/mrt/2026 |
53,73 |
-14,75 |
-2,30 |
-2,25 |
-0,87 |
31/mrt/2026 |
6,41 |
13,89 |
28,03 |
24,05 |
- |
27,90 |
31/mrt/2026 |
- |
-20,77 |
11,17 |
-9,55 |
32,23 |
31/dec/2025 |
17/mrt/2021 |
5.501.368,68 |
14,24 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2298322392 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,11 |
50,84 |
6,38 |
4,03 |
- |
4,64 |
31/mrt/2026 |
50,84 |
-16,82 |
-4,05 |
-0,53 |
1,74 |
31/mrt/2026 |
6,11 |
12,95 |
20,38 |
21,83 |
- |
25,68 |
31/mrt/2026 |
- |
-18,63 |
9,38 |
-11,77 |
29,34 |
31/dec/2025 |
17/mrt/2021 |
212.284.916,27 |
139,46 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
NZD |
LU2298322046 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,03 |
51,62 |
7,96 |
4,19 |
- |
4,79 |
31/mrt/2026 |
51,62 |
-15,40 |
-1,89 |
-1,37 |
-1,07 |
31/mrt/2026 |
6,03 |
13,14 |
25,84 |
22,79 |
- |
26,60 |
31/mrt/2026 |
- |
-20,33 |
11,77 |
-9,84 |
30,35 |
31/dec/2025 |
17/mrt/2021 |
348.323,60 |
14,07 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2298322632 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
5,82 |
50,45 |
6,42 |
2,56 |
- |
3,06 |
31/mrt/2026 |
50,45 |
-16,61 |
-3,94 |
-3,60 |
-2,34 |
31/mrt/2026 |
5,82 |
12,58 |
20,52 |
13,46 |
- |
16,30 |
31/mrt/2026 |
- |
-21,94 |
8,99 |
-11,17 |
29,14 |
31/dec/2025 |
24/mrt/2021 |
20.099.916,96 |
12,91 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2310089938 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,76 |
44,76 |
16,94 |
-2,71 |
- |
-2,74 |
31/mrt/2026 |
44,76 |
-11,62 |
25,00 |
-32,42 |
-19,34 |
31/mrt/2026 |
-3,76 |
0,69 |
59,93 |
-12,83 |
- |
-13,00 |
31/mrt/2026 |
- |
-52,35 |
28,40 |
20,67 |
20,05 |
31/dec/2025 |
24/mrt/2021 |
6.989.833,98 |
11,49 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2310089854 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,79 |
49,92 |
20,92 |
-0,44 |
- |
-0,48 |
31/mrt/2026 |
49,92 |
-8,44 |
28,80 |
-31,77 |
-18,94 |
31/mrt/2026 |
-2,79 |
2,74 |
76,81 |
-2,20 |
- |
-2,40 |
31/mrt/2026 |
- |
-52,10 |
32,38 |
23,85 |
24,72 |
31/dec/2025 |
24/mrt/2021 |
440.026,63 |
12,90 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2310089771 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,93 |
43,28 |
15,88 |
-3,60 |
- |
-3,62 |
31/mrt/2026 |
43,28 |
-12,25 |
23,78 |
-33,08 |
-20,04 |
31/mrt/2026 |
-3,93 |
0,24 |
55,62 |
-16,73 |
- |
-16,90 |
31/mrt/2026 |
- |
-52,71 |
27,14 |
19,54 |
18,82 |
31/dec/2025 |
24/mrt/2021 |
3.018.328,78 |
10,97 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2310089698 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,91 |
48,57 |
19,85 |
-1,34 |
- |
-1,37 |
31/mrt/2026 |
48,57 |
-9,25 |
27,68 |
-32,33 |
-19,74 |
31/mrt/2026 |
-2,91 |
2,30 |
72,14 |
-6,51 |
- |
-6,70 |
31/mrt/2026 |
- |
-52,60 |
31,26 |
22,71 |
23,52 |
31/dec/2025 |
24/mrt/2021 |
3.847.760,39 |
12,32 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2310090191 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,72 |
44,81 |
17,20 |
-2,51 |
- |
-2,54 |
31/mrt/2026 |
44,81 |
-11,26 |
25,27 |
-32,34 |
-19,14 |
31/mrt/2026 |
-3,72 |
0,69 |
60,99 |
-11,92 |
- |
-12,10 |
31/mrt/2026 |
- |
-52,25 |
28,69 |
20,86 |
20,29 |
31/dec/2025 |
24/mrt/2021 |
33.495,73 |
11,62 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2315843669 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-1,20 |
6,96 |
8,31 |
3,68 |
- |
3,68 |
31/mrt/2026 |
6,96 |
4,82 |
13,32 |
-10,48 |
5,33 |
31/mrt/2026 |
-1,20 |
-0,81 |
27,05 |
19,80 |
- |
19,80 |
31/mrt/2026 |
- |
-17,39 |
10,62 |
12,27 |
7,59 |
31/dec/2025 |
31/mrt/2021 |
5.110.331,13 |
8,96 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2315844048 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-1,03 |
7,92 |
9,28 |
4,61 |
- |
4,61 |
31/mrt/2026 |
7,92 |
5,74 |
14,38 |
-9,69 |
6,30 |
31/mrt/2026 |
-1,03 |
-0,40 |
30,52 |
25,30 |
- |
25,30 |
31/mrt/2026 |
- |
-16,71 |
11,61 |
13,31 |
8,58 |
31/dec/2025 |
31/mrt/2021 |
17.531.555,61 |
13,29 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2315843826 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-1,24 |
6,96 |
8,34 |
3,68 |
- |
3,68 |
31/mrt/2026 |
6,96 |
4,77 |
13,48 |
-10,63 |
5,40 |
31/mrt/2026 |
-1,24 |
-0,83 |
27,18 |
19,80 |
- |
19,80 |
31/mrt/2026 |
- |
-17,47 |
10,69 |
12,25 |
7,63 |
31/dec/2025 |
31/mrt/2021 |
3.057.807,54 |
12,69 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2315843586 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,39 |
10,29 |
11,70 |
6,07 |
- |
6,07 |
31/mrt/2026 |
10,29 |
8,16 |
16,84 |
-9,45 |
6,38 |
31/mrt/2026 |
-0,39 |
0,74 |
39,38 |
34,26 |
- |
34,26 |
31/mrt/2026 |
- |
-16,83 |
13,79 |
15,80 |
10,82 |
31/dec/2025 |
31/mrt/2021 |
27.987.085,34 |
10,09 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2315843743 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
7,93 |
9,27 |
4,60 |
- |
4,60 |
31/mrt/2026 |
7,93 |
5,70 |
14,35 |
-9,77 |
6,38 |
31/mrt/2026 |
-1,08 |
-0,53 |
30,45 |
25,22 |
- |
25,22 |
31/mrt/2026 |
- |
-16,70 |
11,60 |
13,38 |
8,51 |
31/dec/2025 |
31/mrt/2021 |
89.063.012,40 |
9,39 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2319961251 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,72 |
-1,82 |
2,07 |
-0,55 |
- |
-0,55 |
31/mrt/2026 |
-1,82 |
-6,60 |
15,96 |
-8,50 |
0,00 |
31/mrt/2026 |
-5,72 |
-8,12 |
6,34 |
-2,70 |
- |
-2,70 |
31/mrt/2026 |
- |
-26,39 |
16,63 |
2,93 |
1,38 |
31/dec/2025 |
31/mrt/2021 |
731.540,13 |
10,91 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2319961178 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-4,55 |
-4,28 |
-0,19 |
0,24 |
- |
0,24 |
31/mrt/2026 |
-4,28 |
-8,63 |
13,68 |
-3,08 |
5,00 |
31/mrt/2026 |
-4,55 |
-6,91 |
-0,57 |
1,18 |
- |
1,18 |
31/mrt/2026 |
- |
-17,61 |
10,59 |
4,72 |
-5,40 |
31/dec/2025 |
31/mrt/2021 |
18.654,54 |
7,85 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2319961335 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,77 |
-1,74 |
2,10 |
-0,55 |
- |
-0,55 |
31/mrt/2026 |
-1,74 |
-6,60 |
15,96 |
-8,48 |
-0,11 |
31/mrt/2026 |
-5,77 |
-8,15 |
6,43 |
-2,70 |
- |
-2,70 |
31/mrt/2026 |
- |
-26,38 |
16,56 |
3,01 |
1,45 |
31/dec/2025 |
31/mrt/2021 |
385.862,35 |
10,61 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2319961509 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-4,09 |
-7,96 |
0,16 |
-0,19 |
- |
-0,19 |
31/mrt/2026 |
-7,96 |
-6,62 |
16,90 |
-6,77 |
5,75 |
31/mrt/2026 |
-4,09 |
-6,53 |
0,48 |
-0,94 |
- |
-0,94 |
31/mrt/2026 |
- |
-21,87 |
12,61 |
9,85 |
-10,30 |
31/dec/2025 |
31/mrt/2021 |
51.079,51 |
9,33 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2319961418 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,45 |
-4,57 |
-0,23 |
-3,06 |
- |
-3,06 |
31/mrt/2026 |
-4,57 |
-8,28 |
13,46 |
-12,31 |
-1,70 |
31/mrt/2026 |
-6,45 |
-9,32 |
-0,70 |
-14,40 |
- |
-14,40 |
31/mrt/2026 |
- |
-29,27 |
13,38 |
1,20 |
-1,19 |
31/dec/2025 |
31/mrt/2021 |
1.032,07 |
9,58 |
- |
498,12 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2325744022 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,08 |
12,22 |
13,37 |
7,44 |
- |
7,44 |
31/mrt/2026 |
12,22 |
9,80 |
18,25 |
-8,28 |
7,12 |
31/mrt/2026 |
-0,08 |
1,68 |
45,69 |
43,15 |
- |
43,15 |
31/mrt/2026 |
- |
-15,77 |
15,33 |
17,32 |
12,92 |
31/dec/2025 |
31/mrt/2021 |
13.344.201,09 |
10,79 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| WPAD |
USD |
IE00BN92ZL31 |
iShares MSCI World Paris-Aligned Climate UCITS ETF |
iShares III plc |
-6,88 |
15,06 |
14,68 |
- |
- |
7,66 |
31/mrt/2026 |
15,06 |
5,48 |
24,28 |
-8,81 |
- |
31/mrt/2026 |
-6,88 |
-4,47 |
50,82 |
- |
- |
43,98 |
31/mrt/2026 |
- |
-21,84 |
25,53 |
18,17 |
18,40 |
31/dec/2025 |
22/apr/2021 |
141.610.375,00 |
7,55 |
- |
602,44 |
01/mei/2026 |
Distributie |
| - |
EUR |
LU2319960527 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
4,29 |
4,71 |
- |
- |
-2,09 |
31/mrt/2026 |
4,29 |
5,50 |
4,34 |
-8,62 |
- |
31/mrt/2026 |
-0,77 |
-0,22 |
14,80 |
- |
- |
-10,00 |
31/mrt/2026 |
- |
-17,74 |
3,90 |
5,38 |
7,59 |
31/dec/2025 |
07/apr/2021 |
3.816,53 |
9,07 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319960105 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-6,55 |
12,88 |
9,11 |
- |
- |
4,14 |
31/mrt/2026 |
12,88 |
-3,37 |
19,11 |
-2,27 |
- |
31/mrt/2026 |
-6,55 |
-3,32 |
29,91 |
- |
- |
22,37 |
31/mrt/2026 |
- |
-28,04 |
24,41 |
1,81 |
26,07 |
31/dec/2025 |
07/apr/2021 |
2.387.001,28 |
15,63 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2319959941 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,97 |
5,78 |
7,08 |
- |
- |
4,78 |
31/mrt/2026 |
5,78 |
-3,40 |
20,14 |
-0,48 |
- |
31/mrt/2026 |
-4,97 |
-1,64 |
22,76 |
- |
- |
26,20 |
31/mrt/2026 |
- |
-23,68 |
20,18 |
8,67 |
11,50 |
31/dec/2025 |
07/apr/2021 |
61.087.507,70 |
13,37 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319960956 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,22 |
6,55 |
6,78 |
- |
- |
-0,10 |
31/mrt/2026 |
6,55 |
7,36 |
6,43 |
-5,77 |
- |
31/mrt/2026 |
-0,22 |
0,73 |
21,75 |
- |
- |
-0,52 |
31/mrt/2026 |
- |
-15,56 |
6,35 |
7,18 |
9,80 |
31/dec/2025 |
07/apr/2021 |
3.959,20 |
7,92 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2319960014 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,90 |
5,86 |
7,08 |
- |
- |
4,79 |
31/mrt/2026 |
5,86 |
-3,47 |
20,13 |
-0,53 |
- |
31/mrt/2026 |
-4,90 |
-1,61 |
22,77 |
- |
- |
26,25 |
31/mrt/2026 |
- |
-23,70 |
20,23 |
8,61 |
11,51 |
31/dec/2025 |
07/apr/2021 |
6.663.293,81 |
12,95 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2319960360 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,37 |
8,43 |
9,09 |
- |
- |
7,02 |
31/mrt/2026 |
8,43 |
-2,12 |
22,31 |
3,25 |
- |
31/mrt/2026 |
-4,37 |
-0,50 |
29,81 |
- |
- |
40,20 |
31/mrt/2026 |
- |
-21,18 |
22,97 |
10,37 |
13,82 |
31/dec/2025 |
07/apr/2021 |
8.931.291,46 |
14,89 |
- |
4.773,26 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319960873 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,30 |
6,64 |
6,83 |
- |
- |
-0,08 |
31/mrt/2026 |
6,64 |
7,36 |
6,49 |
-5,77 |
- |
31/mrt/2026 |
-0,30 |
0,81 |
21,91 |
- |
- |
-0,40 |
31/mrt/2026 |
- |
-15,48 |
6,40 |
7,08 |
10,02 |
31/dec/2025 |
07/apr/2021 |
1.848.542,04 |
10,05 |
- |
2.152,69 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2319960790 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,25 |
6,33 |
6,39 |
- |
- |
-0,66 |
31/mrt/2026 |
6,33 |
7,09 |
5,77 |
-7,10 |
- |
31/mrt/2026 |
-0,25 |
0,77 |
20,43 |
- |
- |
-3,25 |
31/mrt/2026 |
- |
-16,52 |
5,65 |
6,70 |
9,55 |
31/dec/2025 |
07/apr/2021 |
2.869,65 |
7,95 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2319960287 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-5,34 |
10,04 |
6,64 |
- |
- |
4,87 |
31/mrt/2026 |
10,04 |
-5,53 |
16,67 |
3,66 |
- |
31/mrt/2026 |
-5,34 |
-2,03 |
21,29 |
- |
- |
26,71 |
31/mrt/2026 |
- |
-19,51 |
18,05 |
3,46 |
17,58 |
31/dec/2025 |
07/apr/2021 |
1.377.231,50 |
11,20 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2319960444 |
BGF Continental European Flexible Fund |
BlackRock (Luxembourg) S.A. |
-4,37 |
8,48 |
8,99 |
- |
- |
6,98 |
31/mrt/2026 |
8,48 |
-2,25 |
22,11 |
3,22 |
- |
31/mrt/2026 |
-4,37 |
-0,51 |
29,48 |
- |
- |
39,92 |
31/mrt/2026 |
- |
-21,17 |
22,87 |
10,16 |
13,80 |
31/dec/2025 |
07/apr/2021 |
1.282,84 |
14,41 |
- |
4.773,26 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2319962143 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,98 |
2,27 |
5,28 |
- |
- |
-0,16 |
31/mrt/2026 |
2,27 |
5,78 |
7,88 |
-8,60 |
- |
31/mrt/2026 |
-1,98 |
-1,49 |
16,71 |
- |
- |
-0,80 |
31/mrt/2026 |
- |
-14,79 |
4,81 |
6,49 |
6,30 |
31/dec/2025 |
14/apr/2021 |
4.252,47 |
10,12 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2319962226 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,56 |
4,43 |
7,00 |
- |
- |
1,31 |
31/mrt/2026 |
4,43 |
7,38 |
9,24 |
-7,02 |
- |
31/mrt/2026 |
-1,56 |
-0,53 |
22,49 |
- |
- |
6,67 |
31/mrt/2026 |
- |
-13,43 |
6,33 |
7,88 |
8,51 |
31/dec/2025 |
14/apr/2021 |
3.022,37 |
8,30 |
- |
851,79 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2319962499 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,52 |
4,67 |
7,45 |
- |
- |
1,92 |
31/mrt/2026 |
4,67 |
7,80 |
9,93 |
-5,64 |
- |
31/mrt/2026 |
-1,52 |
-0,45 |
24,04 |
- |
- |
9,90 |
31/mrt/2026 |
- |
-12,31 |
7,25 |
8,34 |
8,77 |
31/dec/2025 |
14/apr/2021 |
3.682.242,85 |
11,22 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319962812 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,11 |
7,63 |
8,80 |
- |
- |
4,12 |
31/mrt/2026 |
7,63 |
6,91 |
11,92 |
-3,95 |
- |
31/mrt/2026 |
-1,11 |
0,80 |
28,78 |
- |
- |
22,20 |
31/mrt/2026 |
- |
-11,30 |
13,31 |
8,37 |
9,52 |
31/dec/2025 |
14/apr/2021 |
135.516.244,31 |
9,30 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2319962655 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
7,31 |
8,41 |
- |
- |
3,51 |
31/mrt/2026 |
7,31 |
6,76 |
11,23 |
-5,61 |
- |
31/mrt/2026 |
-1,08 |
0,88 |
27,43 |
- |
- |
18,67 |
31/mrt/2026 |
- |
-12,56 |
12,38 |
8,08 |
9,19 |
31/dec/2025 |
14/apr/2021 |
132.440.297,02 |
9,39 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2319962739 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,05 |
7,67 |
8,79 |
- |
- |
4,12 |
31/mrt/2026 |
7,67 |
6,97 |
11,80 |
-4,04 |
- |
31/mrt/2026 |
-1,05 |
0,83 |
28,77 |
- |
- |
22,20 |
31/mrt/2026 |
- |
-11,29 |
13,28 |
8,36 |
9,49 |
31/dec/2025 |
14/apr/2021 |
112.367.142,88 |
12,47 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2319962572 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,60 |
5,24 |
6,69 |
- |
- |
2,03 |
31/mrt/2026 |
5,24 |
5,11 |
9,78 |
-7,14 |
- |
31/mrt/2026 |
-1,60 |
-0,18 |
21,43 |
- |
- |
10,50 |
31/mrt/2026 |
- |
-13,69 |
10,57 |
6,61 |
7,16 |
31/dec/2025 |
14/apr/2021 |
133.909.534,92 |
11,26 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2319961764 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,19 |
3,90 |
4,60 |
- |
- |
0,75 |
31/mrt/2026 |
3,90 |
5,83 |
4,08 |
-1,95 |
- |
31/mrt/2026 |
0,19 |
0,29 |
14,44 |
- |
- |
3,80 |
31/mrt/2026 |
- |
-6,56 |
2,68 |
7,82 |
4,33 |
31/dec/2025 |
14/apr/2021 |
4.430,34 |
10,54 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2319961848 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,76 |
6,18 |
6,34 |
- |
- |
2,26 |
31/mrt/2026 |
6,18 |
7,27 |
5,57 |
-0,33 |
- |
31/mrt/2026 |
0,76 |
1,31 |
20,24 |
- |
- |
11,70 |
31/mrt/2026 |
- |
-5,12 |
4,13 |
9,18 |
6,54 |
31/dec/2025 |
14/apr/2021 |
3.437,83 |
9,44 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
CNH |
LU2319961681 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,29 |
3,79 |
4,24 |
- |
- |
1,68 |
31/mrt/2026 |
3,79 |
5,28 |
3,66 |
0,03 |
- |
31/mrt/2026 |
0,29 |
0,25 |
13,28 |
- |
- |
8,61 |
31/mrt/2026 |
-2,56 |
-3,89 |
2,49 |
6,85 |
4,37 |
31/dec/2025 |
14/apr/2021 |
6.625.919,38 |
110,17 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319962069 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,80 |
6,36 |
6,65 |
- |
- |
2,64 |
31/mrt/2026 |
6,36 |
7,54 |
6,08 |
0,54 |
- |
31/mrt/2026 |
0,80 |
1,34 |
21,32 |
- |
- |
13,80 |
31/mrt/2026 |
- |
-4,65 |
4,88 |
9,51 |
6,61 |
31/dec/2025 |
14/apr/2021 |
1.123.897,48 |
11,56 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319961921 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
1,64 |
9,41 |
4,09 |
- |
- |
0,58 |
31/mrt/2026 |
9,41 |
5,21 |
-2,02 |
-7,47 |
- |
31/mrt/2026 |
1,64 |
3,59 |
12,78 |
- |
- |
2,89 |
31/mrt/2026 |
- |
-11,57 |
-0,58 |
3,87 |
9,39 |
31/dec/2025 |
14/apr/2021 |
1.094,16 |
8,48 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
GBP |
LU2319963463 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,60 |
11,63 |
6,19 |
- |
- |
1,73 |
31/mrt/2026 |
11,63 |
0,47 |
6,78 |
1,37 |
- |
31/mrt/2026 |
-2,60 |
0,71 |
19,76 |
- |
- |
8,82 |
31/mrt/2026 |
- |
-9,98 |
14,51 |
-6,06 |
19,66 |
31/dec/2025 |
21/apr/2021 |
2.903,91 |
8,08 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2319963547 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,49 |
12,24 |
6,85 |
- |
- |
2,63 |
31/mrt/2026 |
12,24 |
0,90 |
7,73 |
3,56 |
- |
31/mrt/2026 |
-2,49 |
0,89 |
22,00 |
- |
- |
13,70 |
31/mrt/2026 |
- |
-8,48 |
16,05 |
-5,65 |
20,33 |
31/dec/2025 |
21/apr/2021 |
16.680.271,84 |
11,69 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2319963380 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,07 |
9,44 |
4,43 |
- |
- |
0,18 |
31/mrt/2026 |
9,44 |
-1,18 |
5,30 |
0,00 |
- |
31/mrt/2026 |
-3,07 |
-0,20 |
13,88 |
- |
- |
0,90 |
31/mrt/2026 |
- |
-11,47 |
12,96 |
-7,51 |
17,36 |
31/dec/2025 |
21/apr/2021 |
4.302,07 |
10,36 |
- |
1.803,89 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319963620 |
BGF Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,53 |
12,31 |
6,88 |
- |
- |
2,62 |
31/mrt/2026 |
12,31 |
0,80 |
7,84 |
3,42 |
- |
31/mrt/2026 |
-2,53 |
0,96 |
22,08 |
- |
- |
13,64 |
31/mrt/2026 |
- |
-8,54 |
16,10 |
-5,63 |
20,33 |
31/dec/2025 |
21/apr/2021 |
369.719,54 |
8,45 |
- |
1.803,89 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2319963893 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
1,67 |
2,90 |
- |
- |
-1,83 |
31/mrt/2026 |
1,67 |
1,93 |
5,13 |
-9,99 |
- |
31/mrt/2026 |
-1,08 |
-0,65 |
8,95 |
- |
- |
-8,70 |
31/mrt/2026 |
- |
-16,92 |
7,80 |
2,38 |
1,99 |
31/dec/2025 |
21/apr/2021 |
5.791.373,13 |
9,18 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319963976 |
BGF Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,60 |
3,85 |
4,84 |
- |
- |
-0,04 |
31/mrt/2026 |
3,85 |
3,56 |
7,16 |
-7,58 |
- |
31/mrt/2026 |
-0,60 |
0,40 |
15,24 |
- |
- |
-0,20 |
31/mrt/2026 |
- |
-15,12 |
10,21 |
3,99 |
4,04 |
31/dec/2025 |
21/apr/2021 |
601.818,70 |
10,05 |
- |
1.642,04 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2319963208 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-3,79 |
15,29 |
12,68 |
- |
- |
6,95 |
31/mrt/2026 |
15,29 |
9,50 |
13,33 |
-0,51 |
- |
31/mrt/2026 |
-3,79 |
1,70 |
43,08 |
- |
- |
39,38 |
31/mrt/2026 |
- |
-16,22 |
18,99 |
2,27 |
33,13 |
31/dec/2025 |
21/apr/2021 |
2.140.517,25 |
17,57 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2319963117 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,57 |
12,33 |
10,17 |
- |
- |
8,00 |
31/mrt/2026 |
12,33 |
7,07 |
11,18 |
5,56 |
- |
31/mrt/2026 |
-2,57 |
3,11 |
33,70 |
- |
- |
46,26 |
31/mrt/2026 |
- |
-6,16 |
12,85 |
4,03 |
24,15 |
31/dec/2025 |
21/apr/2021 |
1.044.706,06 |
10,92 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2319962903 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,09 |
8,04 |
10,57 |
- |
- |
7,84 |
31/mrt/2026 |
8,04 |
9,45 |
14,34 |
1,32 |
- |
31/mrt/2026 |
-2,09 |
3,49 |
35,19 |
- |
- |
45,20 |
31/mrt/2026 |
- |
-11,06 |
14,93 |
9,00 |
17,79 |
31/dec/2025 |
21/apr/2021 |
3.200.448,93 |
15,03 |
- |
1.646,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2319963034 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,17 |
8,03 |
10,58 |
- |
- |
7,86 |
31/mrt/2026 |
8,03 |
9,45 |
14,36 |
1,35 |
- |
31/mrt/2026 |
-2,17 |
3,48 |
35,22 |
- |
- |
45,32 |
31/mrt/2026 |
- |
-11,15 |
15,06 |
9,03 |
17,86 |
31/dec/2025 |
21/apr/2021 |
1.475,03 |
12,62 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2325727282 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,11 |
3,43 |
4,39 |
- |
- |
1,15 |
31/mrt/2026 |
3,43 |
5,53 |
4,21 |
-0,01 |
- |
31/mrt/2026 |
0,11 |
-0,04 |
13,75 |
- |
- |
5,77 |
31/mrt/2026 |
- |
-4,93 |
3,18 |
7,59 |
3,92 |
31/dec/2025 |
28/apr/2021 |
978.565,44 |
8,29 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2331123724 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,90 |
3,72 |
5,22 |
- |
- |
0,64 |
31/mrt/2026 |
3,72 |
3,65 |
8,35 |
-8,28 |
- |
31/mrt/2026 |
-1,90 |
-0,86 |
16,48 |
- |
- |
3,20 |
31/mrt/2026 |
- |
-14,82 |
9,22 |
5,17 |
5,52 |
31/dec/2025 |
28/apr/2021 |
1.713.965,46 |
10,50 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2337650662 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,62 |
8,08 |
9,22 |
- |
- |
1,71 |
31/mrt/2026 |
8,08 |
6,29 |
13,42 |
-8,73 |
- |
31/mrt/2026 |
-2,62 |
0,80 |
30,30 |
- |
- |
8,69 |
31/mrt/2026 |
- |
-17,12 |
12,23 |
7,24 |
13,05 |
31/dec/2025 |
05/mei/2021 |
4.239,78 |
8,48 |
- |
492,09 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2337650407 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-3,31 |
4,45 |
6,25 |
- |
- |
-0,62 |
31/mrt/2026 |
4,45 |
3,81 |
10,62 |
-10,20 |
- |
31/mrt/2026 |
-3,31 |
-0,82 |
19,94 |
- |
- |
-2,98 |
31/mrt/2026 |
- |
-18,36 |
9,56 |
4,78 |
9,35 |
31/dec/2025 |
12/mei/2021 |
4.991,07 |
7,53 |
- |
492,09 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2337650316 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,74 |
7,37 |
8,56 |
- |
- |
1,10 |
31/mrt/2026 |
7,37 |
5,68 |
12,75 |
-9,26 |
- |
31/mrt/2026 |
-2,74 |
0,50 |
27,93 |
- |
- |
5,51 |
31/mrt/2026 |
- |
-17,62 |
11,54 |
6,64 |
12,32 |
31/dec/2025 |
05/mei/2021 |
4.104,94 |
8,21 |
- |
492,09 |
30/apr/2026 |
Distributie |
| - |
SEK |
IE00BP2C1Y93 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,87 |
18,36 |
16,42 |
- |
- |
8,44 |
31/mrt/2026 |
18,36 |
3,27 |
29,09 |
-14,00 |
- |
31/mrt/2026 |
-6,87 |
-2,61 |
57,80 |
- |
- |
48,79 |
31/mrt/2026 |
- |
-23,65 |
23,41 |
23,98 |
17,66 |
31/dec/2025 |
04/mei/2021 |
1.670,52 |
1.670,52 |
1.670,52 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
IE00BP2C1X86 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,07 |
17,73 |
15,96 |
- |
- |
8,53 |
31/mrt/2026 |
17,73 |
2,96 |
28,64 |
-14,05 |
- |
31/mrt/2026 |
-7,07 |
-2,98 |
55,92 |
- |
- |
49,43 |
31/mrt/2026 |
- |
-23,27 |
22,99 |
23,62 |
17,19 |
31/dec/2025 |
04/mei/2021 |
1.318.868,34 |
1.677,44 |
1.677,44 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2342521510 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
7,82 |
6,08 |
- |
- |
2,90 |
31/mrt/2026 |
7,82 |
2,63 |
7,88 |
1,71 |
- |
31/mrt/2026 |
-1,28 |
2,44 |
19,38 |
- |
- |
14,93 |
31/mrt/2026 |
- |
-1,54 |
7,67 |
3,86 |
8,84 |
31/dec/2025 |
19/mei/2021 |
4.100,57 |
9,31 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2344713503 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,10 |
47,56 |
19,19 |
- |
- |
-2,03 |
31/mrt/2026 |
47,56 |
-9,84 |
27,29 |
-32,11 |
- |
31/mrt/2026 |
-3,10 |
1,80 |
69,35 |
- |
- |
-9,40 |
31/mrt/2026 |
- |
-52,63 |
30,54 |
22,28 |
22,54 |
31/dec/2025 |
09/jun/2021 |
4.889,25 |
11,95 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2344713099 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-1,13 |
47,83 |
18,65 |
- |
- |
2,15 |
31/mrt/2026 |
47,83 |
-11,06 |
27,02 |
-24,68 |
- |
31/mrt/2026 |
-1,13 |
4,53 |
67,02 |
- |
- |
10,88 |
31/mrt/2026 |
- |
-44,40 |
26,70 |
26,25 |
16,25 |
31/dec/2025 |
26/mei/2021 |
5.082,24 |
10,19 |
- |
2.823,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2344713255 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,44 |
51,53 |
21,32 |
- |
- |
0,83 |
31/mrt/2026 |
51,53 |
-9,01 |
29,50 |
-28,82 |
- |
31/mrt/2026 |
-2,44 |
3,07 |
78,56 |
- |
- |
4,10 |
31/mrt/2026 |
- |
-50,34 |
33,79 |
24,09 |
24,80 |
31/dec/2025 |
26/mei/2021 |
606.132,19 |
13,77 |
- |
2.823,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2344713339 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
42,14 |
19,11 |
- |
- |
2,09 |
31/mrt/2026 |
42,14 |
-9,01 |
30,65 |
-27,60 |
- |
31/mrt/2026 |
-0,77 |
4,87 |
68,97 |
- |
- |
10,51 |
31/mrt/2026 |
- |
-47,32 |
29,25 |
32,42 |
10,42 |
31/dec/2025 |
26/mei/2021 |
5.902,31 |
11,79 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2344713172 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,43 |
51,45 |
21,36 |
- |
- |
0,85 |
31/mrt/2026 |
51,45 |
-8,87 |
29,50 |
-28,82 |
- |
31/mrt/2026 |
-2,43 |
3,07 |
78,73 |
- |
- |
4,20 |
31/mrt/2026 |
- |
-50,29 |
33,72 |
24,06 |
24,77 |
31/dec/2025 |
26/mei/2021 |
2.123,28 |
13,79 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2344713768 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-11,56 |
17,46 |
26,61 |
- |
- |
12,54 |
31/mrt/2026 |
17,46 |
17,24 |
47,37 |
-11,06 |
- |
31/mrt/2026 |
-11,56 |
-3,42 |
102,94 |
- |
- |
77,24 |
31/mrt/2026 |
- |
-14,47 |
23,47 |
39,66 |
27,34 |
31/dec/2025 |
26/mei/2021 |
10.167.623,66 |
18,62 |
- |
2.562,70 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2344713925 |
BGF European Special Situations Fund |
BlackRock (Luxembourg) S.A. |
-4,82 |
-6,14 |
-0,45 |
- |
- |
-1,09 |
31/mrt/2026 |
-6,14 |
-8,77 |
15,22 |
-2,83 |
- |
31/mrt/2026 |
-4,82 |
-7,07 |
-1,34 |
- |
- |
-5,19 |
31/mrt/2026 |
- |
-25,94 |
17,00 |
6,16 |
-5,42 |
31/dec/2025 |
26/mei/2021 |
1.849.267,52 |
10,05 |
- |
656,78 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2344714063 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
4,00 |
4,82 |
- |
- |
-5,88 |
31/mrt/2026 |
4,00 |
9,84 |
0,83 |
-9,18 |
- |
31/mrt/2026 |
-1,33 |
-0,55 |
15,18 |
- |
- |
-25,36 |
31/mrt/2026 |
- |
-21,03 |
-4,27 |
13,84 |
8,29 |
31/dec/2025 |
02/jun/2021 |
225.902,91 |
5,25 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2344713842 |
BGF Emerging Markets Fund |
BlackRock (Luxembourg) S.A. |
0,20 |
20,46 |
6,45 |
- |
- |
-1,70 |
31/mrt/2026 |
20,46 |
-4,58 |
4,94 |
-10,83 |
- |
31/mrt/2026 |
0,20 |
5,50 |
20,61 |
- |
- |
-7,98 |
31/mrt/2026 |
- |
-23,61 |
4,69 |
3,72 |
13,64 |
31/dec/2025 |
26/mei/2021 |
889.907,56 |
11,91 |
- |
815,74 |
30/apr/2026 |
Distributie |
| EPAD |
EUR |
IE000HH3SU50 |
iShares MSCI Europe Paris-Aligned Climate UCITS ETF |
iShares II plc |
-2,98 |
7,30 |
8,81 |
- |
- |
5,79 |
31/mrt/2026 |
7,30 |
5,12 |
14,22 |
0,62 |
- |
31/mrt/2026 |
-2,98 |
2,28 |
28,84 |
- |
- |
30,12 |
31/mrt/2026 |
- |
-13,66 |
16,77 |
8,45 |
13,99 |
31/dec/2025 |
27/jul/2021 |
29.695.184,21 |
6,19 |
- |
181,11 |
01/mei/2026 |
Distributie |
| MPAB |
EUR |
IE000FOSCLU1 |
iShares MSCI EMU Paris-Aligned Climate UCITS ETF |
iShares VII plc |
-4,29 |
6,26 |
8,57 |
- |
- |
5,44 |
31/mrt/2026 |
6,26 |
5,74 |
13,91 |
4,97 |
- |
31/mrt/2026 |
-4,29 |
-0,85 |
27,98 |
- |
- |
28,08 |
31/mrt/2026 |
- |
-15,04 |
17,53 |
9,77 |
15,74 |
31/dec/2025 |
27/jul/2021 |
637.394.496,47 |
6,12 |
- |
2.009,39 |
01/mei/2026 |
Distributie |
| - |
EUR |
NL0015000AI2 |
1895 Obligaties Opportunities Fonds |
BlackRock Asset Management Ireland Limited |
-1,95 |
6,16 |
7,08 |
- |
- |
1,12 |
31/mrt/2026 |
6,16 |
5,51 |
9,61 |
-8,71 |
- |
31/mrt/2026 |
-1,95 |
0,27 |
22,77 |
- |
- |
5,46 |
31/mrt/2026 |
- |
-13,88 |
8,44 |
6,76 |
8,58 |
31/dec/2025 |
15/jun/2021 |
1.794.437.608,95 |
88,75 |
- |
1.794,44 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2344724708 |
BGF Emerging Markets Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
33,60 |
11,32 |
- |
- |
0,38 |
31/mrt/2026 |
33,60 |
2,42 |
0,81 |
-10,33 |
- |
31/mrt/2026 |
-0,97 |
5,71 |
37,94 |
- |
- |
1,80 |
31/mrt/2026 |
- |
-23,12 |
7,23 |
0,53 |
35,26 |
31/dec/2025 |
29/jun/2021 |
10.985,36 |
12,02 |
- |
326,96 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2344726315 |
BGF Emerging Markets Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-0,75 |
34,73 |
12,24 |
- |
- |
1,21 |
31/mrt/2026 |
34,73 |
3,42 |
1,47 |
-9,54 |
- |
31/mrt/2026 |
-0,75 |
6,22 |
41,39 |
- |
- |
5,90 |
31/mrt/2026 |
- |
-22,48 |
7,98 |
1,43 |
36,44 |
31/dec/2025 |
29/jun/2021 |
6.253,89 |
12,51 |
- |
326,96 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2344726406 |
BGF Emerging Markets Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
0,68 |
25,25 |
9,26 |
- |
- |
1,03 |
31/mrt/2026 |
25,25 |
2,47 |
1,62 |
-8,76 |
- |
31/mrt/2026 |
0,68 |
7,55 |
30,43 |
- |
- |
4,99 |
31/mrt/2026 |
- |
-18,42 |
3,48 |
7,32 |
19,64 |
31/dec/2025 |
29/jun/2021 |
200.049,02 |
10,28 |
- |
326,96 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2344724963 |
BGF European Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-2,22 |
10,90 |
7,28 |
- |
- |
4,44 |
31/mrt/2026 |
10,90 |
-2,55 |
14,24 |
-4,50 |
- |
31/mrt/2026 |
-2,22 |
1,99 |
23,47 |
- |
- |
23,10 |
31/mrt/2026 |
- |
-21,93 |
14,65 |
8,17 |
11,81 |
31/dec/2025 |
17/jun/2021 |
44.260,75 |
13,13 |
- |
7,82 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2344724880 |
BGF European Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-2,06 |
11,78 |
8,17 |
- |
- |
5,31 |
31/mrt/2026 |
11,78 |
-1,72 |
15,22 |
-3,71 |
- |
31/mrt/2026 |
-2,06 |
2,40 |
26,58 |
- |
- |
28,10 |
31/mrt/2026 |
- |
-21,32 |
15,67 |
9,13 |
12,76 |
31/dec/2025 |
17/jun/2021 |
321.834,55 |
13,67 |
- |
7,82 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2346228112 |
BGF Sustainable Global Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
7,25 |
22,74 |
9,94 |
- |
- |
5,95 |
31/mrt/2026 |
22,74 |
11,65 |
-3,03 |
-6,42 |
- |
31/mrt/2026 |
7,25 |
9,57 |
32,90 |
- |
- |
31,70 |
31/mrt/2026 |
- |
-14,30 |
10,18 |
-2,46 |
23,79 |
31/dec/2025 |
24/jun/2021 |
6.742,83 |
13,49 |
- |
24,40 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2346227817 |
BGF Sustainable Global Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
7,05 |
21,72 |
8,95 |
- |
- |
4,99 |
31/mrt/2026 |
21,72 |
10,57 |
-3,90 |
-7,32 |
- |
31/mrt/2026 |
7,05 |
9,08 |
29,33 |
- |
- |
26,10 |
31/mrt/2026 |
- |
-15,11 |
9,23 |
-3,42 |
22,71 |
31/dec/2025 |
24/jun/2021 |
1.869.653,44 |
12,90 |
- |
24,40 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2346227908 |
BGF Sustainable Global Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
7,20 |
22,38 |
9,58 |
- |
- |
5,59 |
31/mrt/2026 |
22,38 |
11,24 |
-3,35 |
-6,81 |
- |
31/mrt/2026 |
7,20 |
9,37 |
31,57 |
- |
- |
29,60 |
31/mrt/2026 |
- |
-14,60 |
9,91 |
-2,87 |
23,37 |
31/dec/2025 |
24/jun/2021 |
8.395,39 |
13,27 |
- |
24,40 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2342603086 |
BGF Systematic Multi Allocation Credit Fund |
BlackRock (Luxembourg) S.A. |
-1,40 |
5,79 |
6,94 |
- |
- |
1,21 |
31/mrt/2026 |
5,79 |
6,26 |
8,78 |
-5,87 |
- |
31/mrt/2026 |
-1,40 |
0,19 |
22,29 |
- |
- |
5,90 |
31/mrt/2026 |
- |
-15,03 |
10,02 |
5,89 |
8,70 |
31/dec/2025 |
22/jun/2021 |
5.391,91 |
10,78 |
- |
152,50 |
30/apr/2026 |
Kapitalisatie |
| ITWAX |
USD |
IE000AJFZ9E4 |
iShares MSCI Taiwan UCITS ETF |
iShares plc |
7,25 |
59,12 |
25,68 |
- |
- |
11,85 |
31/mrt/2026 |
59,12 |
1,58 |
22,82 |
-14,11 |
- |
31/mrt/2026 |
7,25 |
15,32 |
98,52 |
- |
- |
70,30 |
31/mrt/2026 |
- |
-29,51 |
28,66 |
23,92 |
31,74 |
31/dec/2025 |
28/jun/2021 |
19.958.508,29 |
220,01 |
- |
1.443,60 |
01/mei/2026 |
Kapitalisatie |
| - |
USD |
LU2352260140 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,99 |
4,05 |
5,73 |
- |
- |
2,12 |
31/mrt/2026 |
4,05 |
6,20 |
6,95 |
-2,71 |
- |
31/mrt/2026 |
-0,99 |
0,18 |
18,18 |
- |
- |
10,50 |
31/mrt/2026 |
- |
-7,04 |
7,14 |
5,25 |
7,00 |
31/dec/2025 |
30/jun/2021 |
5.605,87 |
11,21 |
- |
316,97 |
30/apr/2026 |
Kapitalisatie |
| |
AUD |
LU2354320728 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,99 |
13,29 |
8,53 |
- |
- |
1,54 |
31/mrt/2026 |
13,29 |
0,46 |
12,30 |
-9,72 |
- |
31/mrt/2026 |
-3,99 |
-1,03 |
27,82 |
- |
- |
7,54 |
31/mrt/2026 |
- |
-17,83 |
10,16 |
7,35 |
15,95 |
31/dec/2025 |
30/jun/2021 |
6.693,17 |
10,16 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| |
SGD |
LU2354320645 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,61 |
11,20 |
7,61 |
- |
- |
1,34 |
31/mrt/2026 |
11,20 |
-0,19 |
12,28 |
-8,78 |
- |
31/mrt/2026 |
-4,61 |
-2,25 |
24,62 |
- |
- |
6,52 |
31/mrt/2026 |
- |
-17,04 |
10,57 |
6,79 |
14,18 |
31/dec/2025 |
30/jun/2021 |
6.737,92 |
10,04 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| |
USD |
LU2354320561 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,95 |
14,68 |
10,06 |
- |
- |
3,10 |
31/mrt/2026 |
14,68 |
1,67 |
14,35 |
-7,66 |
- |
31/mrt/2026 |
-3,95 |
-0,77 |
33,32 |
- |
- |
15,60 |
31/mrt/2026 |
- |
-16,30 |
12,64 |
8,75 |
17,47 |
31/dec/2025 |
30/jun/2021 |
73.219,04 |
10,93 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2337646041 |
BGF Emerging Markets Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,30 |
4,64 |
6,25 |
- |
- |
1,22 |
31/mrt/2026 |
4,64 |
6,30 |
7,81 |
-4,44 |
- |
31/mrt/2026 |
-1,30 |
-0,09 |
19,93 |
- |
- |
5,90 |
31/mrt/2026 |
- |
-11,78 |
8,40 |
5,31 |
8,17 |
31/dec/2025 |
12/jul/2021 |
5.377,25 |
10,75 |
- |
84,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2337645589 |
BGF Emerging Markets Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,41 |
4,48 |
6,02 |
- |
- |
1,04 |
31/mrt/2026 |
4,48 |
6,01 |
7,60 |
-4,55 |
- |
31/mrt/2026 |
-1,41 |
-0,19 |
19,18 |
- |
- |
5,00 |
31/mrt/2026 |
- |
-11,89 |
8,19 |
5,12 |
8,01 |
31/dec/2025 |
12/jul/2021 |
916.965,06 |
10,66 |
- |
84,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2337645407 |
BGF Emerging Markets Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,44 |
4,15 |
5,59 |
- |
- |
0,61 |
31/mrt/2026 |
4,15 |
5,56 |
7,09 |
-5,00 |
- |
31/mrt/2026 |
-1,44 |
-0,39 |
17,73 |
- |
- |
2,90 |
31/mrt/2026 |
- |
-12,32 |
7,78 |
4,63 |
7,52 |
31/dec/2025 |
12/jul/2021 |
5.223,78 |
10,45 |
- |
84,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2337646124 |
BGF Emerging Markets Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,75 |
2,25 |
4,00 |
- |
- |
-0,99 |
31/mrt/2026 |
2,25 |
4,25 |
5,54 |
-7,42 |
- |
31/mrt/2026 |
-1,75 |
-1,14 |
12,50 |
- |
- |
-4,60 |
31/mrt/2026 |
- |
-14,29 |
5,95 |
3,37 |
5,54 |
31/dec/2025 |
12/jul/2021 |
554.833,69 |
9,67 |
- |
84,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2357541692 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-7,52 |
19,18 |
19,09 |
- |
- |
4,90 |
31/mrt/2026 |
19,18 |
-1,86 |
44,41 |
-17,63 |
- |
31/mrt/2026 |
-7,52 |
-7,65 |
68,91 |
- |
- |
25,50 |
31/mrt/2026 |
- |
-39,60 |
44,65 |
41,30 |
4,38 |
31/dec/2025 |
30/jun/2021 |
36.405.737,14 |
15,71 |
- |
16.289,74 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2360106780 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,05 |
27,13 |
21,42 |
- |
- |
4,07 |
31/mrt/2026 |
27,13 |
-1,73 |
43,26 |
-19,10 |
- |
31/mrt/2026 |
-9,05 |
-9,16 |
78,99 |
- |
- |
20,77 |
31/mrt/2026 |
- |
-43,10 |
49,71 |
32,51 |
18,01 |
31/dec/2025 |
07/jul/2021 |
1.717.217,24 |
18,36 |
- |
16.289,74 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2360108059 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,91 |
-2,65 |
1,17 |
- |
- |
-3,52 |
31/mrt/2026 |
-2,65 |
-7,47 |
14,97 |
-9,34 |
- |
31/mrt/2026 |
-5,91 |
-8,56 |
3,56 |
- |
- |
-15,60 |
31/mrt/2026 |
- |
-27,07 |
15,59 |
2,06 |
0,45 |
31/dec/2025 |
07/jul/2021 |
672.316,15 |
9,45 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2360107168 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,65 |
50,08 |
20,26 |
- |
- |
-1,75 |
31/mrt/2026 |
50,08 |
-9,72 |
28,36 |
-29,47 |
- |
31/mrt/2026 |
-2,65 |
2,68 |
73,91 |
- |
- |
-8,00 |
31/mrt/2026 |
- |
-50,74 |
32,62 |
22,83 |
23,69 |
31/dec/2025 |
14/jul/2021 |
821.365,53 |
12,16 |
- |
2.823,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2360107325 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
2,41 |
28,34 |
1,17 |
- |
- |
-1,46 |
31/mrt/2026 |
28,34 |
-12,93 |
-7,33 |
-1,31 |
- |
31/mrt/2026 |
2,41 |
3,67 |
3,55 |
- |
- |
-6,70 |
31/mrt/2026 |
- |
-23,94 |
9,90 |
-12,59 |
20,34 |
31/dec/2025 |
14/jul/2021 |
1.965.383,73 |
10,44 |
- |
638,83 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2360107671 |
BGF FinTech Fund |
BlackRock (Luxembourg) S.A. |
-20,73 |
2,53 |
9,74 |
- |
- |
-10,02 |
31/mrt/2026 |
2,53 |
-5,87 |
36,96 |
-35,21 |
- |
31/mrt/2026 |
-20,73 |
-29,30 |
32,17 |
- |
- |
-39,20 |
31/mrt/2026 |
- |
-40,91 |
17,81 |
14,78 |
14,82 |
31/dec/2025 |
14/jul/2021 |
215.642,74 |
6,67 |
- |
129,81 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2357541858 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-2,32 |
7,04 |
10,07 |
- |
- |
7,16 |
31/mrt/2026 |
7,04 |
8,90 |
14,42 |
3,13 |
- |
31/mrt/2026 |
-2,32 |
3,02 |
33,37 |
- |
- |
38,49 |
31/mrt/2026 |
- |
-9,50 |
15,40 |
8,64 |
16,77 |
31/dec/2025 |
14/jul/2021 |
3.429.042,61 |
11,95 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| AGGE |
USD |
IE000U6US1Q0 |
iShares Global Aggregate Bond ESG SRI UCITS ETF |
iShares III plc |
-1,12 |
4,12 |
2,45 |
- |
- |
-2,20 |
31/mrt/2026 |
4,12 |
2,90 |
0,37 |
-8,41 |
- |
31/mrt/2026 |
-1,12 |
-0,93 |
7,53 |
- |
- |
-9,71 |
31/mrt/2026 |
- |
-16,65 |
5,72 |
-1,86 |
8,04 |
31/dec/2025 |
25/aug/2021 |
37.115.714,12 |
4,09 |
- |
4.566,12 |
01/mei/2026 |
Distributie |
| CBUD |
EUR |
IE000CR424L6 |
iShares MSCI Europe SRI UCITS ETF |
iShares II plc |
-4,38 |
-0,49 |
3,21 |
- |
- |
2,05 |
31/mrt/2026 |
-0,49 |
-2,85 |
13,74 |
2,34 |
- |
31/mrt/2026 |
-4,38 |
-2,04 |
9,96 |
- |
- |
9,92 |
31/mrt/2026 |
- |
-14,94 |
16,14 |
5,28 |
3,90 |
31/dec/2025 |
28/jul/2021 |
5.567.669,54 |
5,36 |
- |
3.301,20 |
01/mei/2026 |
Distributie |
| - |
SGD |
LU2364470067 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,53 |
8,64 |
3,58 |
- |
- |
-2,84 |
31/mrt/2026 |
8,64 |
1,88 |
0,42 |
-20,48 |
- |
31/mrt/2026 |
0,53 |
0,37 |
11,14 |
- |
- |
-12,59 |
31/mrt/2026 |
- |
-25,34 |
8,99 |
-5,67 |
12,04 |
31/dec/2025 |
28/jul/2021 |
- |
60,38 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2360108562 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
1,76 |
24,36 |
-1,75 |
- |
- |
-4,20 |
31/mrt/2026 |
24,36 |
-15,31 |
-9,96 |
-2,95 |
- |
31/mrt/2026 |
1,76 |
2,30 |
-5,17 |
- |
- |
-18,12 |
31/mrt/2026 |
- |
-24,06 |
6,60 |
-15,23 |
16,79 |
31/dec/2025 |
04/aug/2021 |
23.761.028,02 |
91,28 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU2367605297 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,11 |
1,88 |
1,07 |
- |
- |
-1,75 |
31/mrt/2026 |
1,88 |
1,69 |
-0,34 |
-3,15 |
- |
31/mrt/2026 |
-0,11 |
-0,65 |
3,25 |
- |
- |
-7,90 |
31/mrt/2026 |
- |
-7,01 |
-1,35 |
3,19 |
1,88 |
31/dec/2025 |
04/aug/2021 |
511.226,16 |
934,00 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372745476 |
BGF Sustainable Global Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
9,02 |
14,69 |
7,53 |
- |
- |
5,32 |
31/mrt/2026 |
14,69 |
11,24 |
-2,54 |
-5,14 |
- |
31/mrt/2026 |
9,02 |
11,29 |
24,34 |
- |
- |
27,15 |
31/mrt/2026 |
- |
-9,39 |
6,05 |
3,73 |
9,10 |
31/dec/2025 |
11/aug/2021 |
90.657,00 |
11,35 |
- |
24,40 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372745393 |
BGF Sustainable Global Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
8,73 |
13,43 |
6,36 |
- |
- |
4,16 |
31/mrt/2026 |
13,43 |
10,02 |
-3,59 |
-6,17 |
- |
31/mrt/2026 |
8,73 |
10,72 |
20,32 |
- |
- |
20,80 |
31/mrt/2026 |
- |
-10,31 |
4,91 |
2,49 |
7,97 |
31/dec/2025 |
11/aug/2021 |
7.336.597,84 |
12,19 |
- |
24,40 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372744073 |
BGF European Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-2,36 |
10,35 |
6,76 |
- |
- |
1,62 |
31/mrt/2026 |
10,35 |
-3,08 |
13,79 |
-4,94 |
- |
31/mrt/2026 |
-2,36 |
1,70 |
21,69 |
- |
- |
7,70 |
31/mrt/2026 |
- |
-22,35 |
14,27 |
7,71 |
11,19 |
31/dec/2025 |
18/aug/2021 |
297.811,76 |
11,48 |
- |
7,82 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372745047 |
BGF Emerging Markets Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
0,88 |
26,27 |
10,14 |
- |
- |
2,35 |
31/mrt/2026 |
26,27 |
3,27 |
2,47 |
-8,03 |
- |
31/mrt/2026 |
0,88 |
8,00 |
33,62 |
- |
- |
11,27 |
31/mrt/2026 |
- |
-17,73 |
4,34 |
8,18 |
20,69 |
31/dec/2025 |
25/aug/2021 |
5.530,87 |
10,70 |
- |
326,96 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372995238 |
BGF Emerging Markets Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
0,58 |
24,61 |
8,70 |
- |
- |
1,03 |
31/mrt/2026 |
24,61 |
1,94 |
1,10 |
-9,13 |
- |
31/mrt/2026 |
0,58 |
7,27 |
28,43 |
- |
- |
4,80 |
31/mrt/2026 |
- |
-18,78 |
2,89 |
6,84 |
19,09 |
31/dec/2025 |
25/aug/2021 |
144.075,41 |
12,20 |
- |
326,96 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372743778 |
BGF Systematic Multi Allocation Credit Fund |
BlackRock (Luxembourg) S.A. |
-2,02 |
2,90 |
4,24 |
- |
- |
-1,73 |
31/mrt/2026 |
2,90 |
3,82 |
6,01 |
-9,34 |
- |
31/mrt/2026 |
-2,02 |
-1,07 |
13,25 |
- |
- |
-7,70 |
31/mrt/2026 |
- |
-17,94 |
6,83 |
3,60 |
5,72 |
31/dec/2025 |
01/sep/2021 |
379.353,17 |
9,38 |
- |
152,50 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372743695 |
BGF Emerging Markets Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,05 |
1,34 |
3,04 |
- |
- |
-2,06 |
31/mrt/2026 |
1,34 |
3,22 |
4,57 |
-8,28 |
- |
31/mrt/2026 |
-2,05 |
-1,62 |
9,39 |
- |
- |
-9,10 |
31/mrt/2026 |
- |
-14,93 |
4,72 |
2,43 |
4,74 |
31/dec/2025 |
01/sep/2021 |
428.989,61 |
9,20 |
- |
84,61 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2372743851 |
BGF Systematic Multi Allocation Credit Fund |
BlackRock (Luxembourg) S.A. |
-1,95 |
3,68 |
5,07 |
- |
- |
-0,95 |
31/mrt/2026 |
3,68 |
4,65 |
6,91 |
-8,64 |
- |
31/mrt/2026 |
-1,95 |
-0,73 |
16,00 |
- |
- |
-4,30 |
31/mrt/2026 |
- |
-17,04 |
7,87 |
4,45 |
6,55 |
31/dec/2025 |
01/sep/2021 |
4.136,97 |
9,74 |
- |
152,50 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2353382208 |
BSF Health Sciences Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,82 |
6,04 |
- |
- |
- |
6,40 |
31/mrt/2026 |
6,04 |
4,12 |
- |
- |
- |
31/mrt/2026 |
-1,82 |
1,83 |
- |
- |
- |
17,95 |
31/mrt/2026 |
- |
- |
- |
6,32 |
10,07 |
31/dec/2025 |
03/aug/2023 |
- |
118,27 |
- |
22,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2353382034 |
BSF Health Sciences Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,93 |
5,67 |
- |
- |
- |
5,95 |
31/mrt/2026 |
5,67 |
3,59 |
- |
- |
- |
31/mrt/2026 |
-1,93 |
1,61 |
- |
- |
- |
16,63 |
31/mrt/2026 |
- |
- |
- |
5,81 |
9,67 |
31/dec/2025 |
03/aug/2023 |
- |
116,91 |
- |
22,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2353382976 |
BSF Health Sciences Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-1,83 |
6,55 |
- |
- |
- |
6,89 |
31/mrt/2026 |
6,55 |
4,49 |
- |
- |
- |
31/mrt/2026 |
-1,83 |
2,02 |
- |
- |
- |
19,41 |
31/mrt/2026 |
- |
- |
- |
6,87 |
10,67 |
31/dec/2025 |
03/aug/2023 |
- |
119,75 |
- |
22,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2353382117 |
BSF Health Sciences Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,37 |
3,29 |
- |
- |
- |
4,00 |
31/mrt/2026 |
3,29 |
1,91 |
- |
- |
- |
31/mrt/2026 |
-2,37 |
0,58 |
- |
- |
- |
11,00 |
31/mrt/2026 |
- |
- |
- |
4,16 |
7,24 |
31/dec/2025 |
03/aug/2023 |
- |
111,08 |
- |
22,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2379469104 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,88 |
5,74 |
6,35 |
- |
- |
-2,90 |
31/mrt/2026 |
5,74 |
11,26 |
2,23 |
-6,37 |
- |
31/mrt/2026 |
-0,88 |
0,23 |
20,27 |
- |
- |
-12,45 |
31/mrt/2026 |
- |
-18,74 |
-2,61 |
14,92 |
10,12 |
31/dec/2025 |
22/sep/2021 |
420.463,51 |
6,48 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2381872907 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,80 |
5,97 |
6,46 |
- |
- |
-3,03 |
31/mrt/2026 |
5,97 |
11,55 |
2,08 |
-7,09 |
- |
31/mrt/2026 |
-0,80 |
0,46 |
20,67 |
- |
- |
-13,00 |
31/mrt/2026 |
- |
-19,32 |
-2,82 |
15,22 |
10,31 |
31/dec/2025 |
22/sep/2021 |
188.412,11 |
8,91 |
- |
1.075,40 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2381873038 |
BGF Asian High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,83 |
6,04 |
6,53 |
- |
- |
-3,01 |
31/mrt/2026 |
6,04 |
11,45 |
2,30 |
-7,27 |
- |
31/mrt/2026 |
-0,83 |
0,42 |
20,90 |
- |
- |
-12,91 |
31/mrt/2026 |
- |
-19,46 |
-2,76 |
15,25 |
10,45 |
31/dec/2025 |
22/sep/2021 |
512.704,24 |
6,26 |
- |
1.075,40 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2381873111 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,77 |
8,64 |
10,55 |
- |
- |
4,90 |
31/mrt/2026 |
8,64 |
7,08 |
16,14 |
-8,12 |
- |
31/mrt/2026 |
-0,77 |
0,00 |
35,11 |
- |
- |
24,18 |
31/mrt/2026 |
- |
-15,63 |
13,62 |
14,51 |
9,41 |
31/dec/2025 |
22/sep/2021 |
628.174.516,54 |
9,25 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2381873202 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,66 |
9,52 |
11,51 |
- |
- |
5,86 |
31/mrt/2026 |
9,52 |
8,10 |
17,12 |
-7,22 |
- |
31/mrt/2026 |
-0,66 |
0,37 |
38,66 |
- |
- |
29,35 |
31/mrt/2026 |
- |
-14,87 |
14,68 |
15,56 |
10,46 |
31/dec/2025 |
22/sep/2021 |
28.736.948,49 |
9,67 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
SEK |
LU2384697590 |
BlackRock ESG Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,34 |
1,21 |
3,42 |
- |
- |
-0,94 |
31/mrt/2026 |
1,21 |
2,88 |
6,22 |
-7,85 |
- |
31/mrt/2026 |
-1,34 |
-1,26 |
10,60 |
- |
- |
-4,18 |
31/mrt/2026 |
- |
-14,22 |
7,96 |
3,57 |
2,25 |
31/dec/2025 |
29/sep/2021 |
- |
966,11 |
- |
258,93 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2391915506 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,24 |
3,89 |
4,60 |
- |
- |
1,34 |
31/mrt/2026 |
3,89 |
5,70 |
4,22 |
-1,96 |
- |
31/mrt/2026 |
0,24 |
0,21 |
14,45 |
- |
- |
6,14 |
31/mrt/2026 |
- |
-6,48 |
2,61 |
7,82 |
4,30 |
31/dec/2025 |
08/okt/2021 |
4.646,06 |
8,55 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
SGD |
LU2391915415 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,16 |
3,48 |
4,51 |
- |
- |
1,86 |
31/mrt/2026 |
3,48 |
5,71 |
4,34 |
0,15 |
- |
31/mrt/2026 |
0,16 |
-0,03 |
14,14 |
- |
- |
8,58 |
31/mrt/2026 |
- |
-4,77 |
3,24 |
7,68 |
4,05 |
31/dec/2025 |
08/okt/2021 |
5.947,13 |
8,73 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2391915761 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,75 |
6,23 |
6,61 |
- |
- |
3,30 |
31/mrt/2026 |
6,23 |
7,54 |
6,06 |
0,48 |
- |
31/mrt/2026 |
0,75 |
1,24 |
21,16 |
- |
- |
15,65 |
31/mrt/2026 |
- |
-4,56 |
4,75 |
9,65 |
6,51 |
31/dec/2025 |
08/okt/2021 |
4.682,14 |
9,36 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
HKD |
LU2391915332 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,41 |
4,31 |
5,22 |
- |
- |
2,14 |
31/mrt/2026 |
4,31 |
6,44 |
4,92 |
-0,54 |
- |
31/mrt/2026 |
0,41 |
0,74 |
16,49 |
- |
- |
9,97 |
31/mrt/2026 |
- |
-5,24 |
3,52 |
8,30 |
4,84 |
31/dec/2025 |
08/okt/2021 |
34.422,39 |
88,41 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2391915928 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
1,68 |
9,30 |
4,10 |
- |
- |
0,43 |
31/mrt/2026 |
9,30 |
5,26 |
-1,93 |
-7,55 |
- |
31/mrt/2026 |
1,68 |
3,62 |
12,82 |
- |
- |
1,94 |
31/mrt/2026 |
- |
-11,61 |
-0,58 |
3,89 |
9,39 |
31/dec/2025 |
08/okt/2021 |
2.219.924,16 |
16,10 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2391915688 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,27 |
3,78 |
4,22 |
- |
- |
1,94 |
31/mrt/2026 |
3,78 |
5,26 |
3,64 |
0,01 |
- |
31/mrt/2026 |
0,27 |
0,24 |
13,22 |
- |
- |
9,00 |
31/mrt/2026 |
- |
-3,91 |
2,46 |
6,84 |
4,34 |
31/dec/2025 |
08/okt/2021 |
62.287.739,43 |
87,77 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2398791959 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-0,99 |
40,74 |
17,97 |
- |
- |
-1,75 |
31/mrt/2026 |
40,74 |
-9,86 |
29,42 |
-28,11 |
- |
31/mrt/2026 |
-0,99 |
4,45 |
64,20 |
- |
- |
-7,53 |
31/mrt/2026 |
- |
-47,74 |
28,02 |
31,14 |
9,36 |
31/dec/2025 |
20/okt/2021 |
11.632.471,15 |
10,40 |
- |
2.823,21 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2398792098 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
4,12 |
20,39 |
-0,73 |
- |
- |
-1,85 |
31/mrt/2026 |
20,39 |
-13,07 |
-6,53 |
0,49 |
- |
31/mrt/2026 |
4,12 |
5,34 |
-2,18 |
- |
- |
-7,96 |
31/mrt/2026 |
- |
-19,17 |
5,96 |
-6,78 |
6,58 |
31/dec/2025 |
20/okt/2021 |
2.956.037,14 |
8,93 |
- |
638,83 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2368536913 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-0,95 |
7,31 |
5,28 |
- |
- |
0,96 |
31/mrt/2026 |
7,31 |
3,41 |
5,15 |
-6,39 |
- |
31/mrt/2026 |
-0,95 |
1,46 |
16,69 |
- |
- |
4,20 |
31/mrt/2026 |
- |
-13,86 |
6,90 |
4,52 |
8,23 |
31/dec/2025 |
15/dec/2021 |
1.218.900,21 |
10,72 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2368538372 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-0,94 |
7,41 |
5,58 |
- |
- |
1,32 |
31/mrt/2026 |
7,41 |
3,79 |
5,56 |
-5,96 |
- |
31/mrt/2026 |
-0,94 |
1,54 |
17,69 |
- |
- |
5,80 |
31/mrt/2026 |
- |
-13,47 |
7,44 |
4,90 |
8,43 |
31/dec/2025 |
15/dec/2021 |
5.445,78 |
10,89 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2368536160 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,55 |
15,07 |
11,27 |
- |
- |
4,78 |
31/mrt/2026 |
15,07 |
2,81 |
16,46 |
-8,84 |
- |
31/mrt/2026 |
-2,55 |
1,92 |
37,77 |
- |
- |
22,20 |
31/mrt/2026 |
- |
-17,90 |
16,23 |
13,25 |
12,87 |
31/dec/2025 |
15/dec/2021 |
365.214,45 |
13,27 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2368540196 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,51 |
15,32 |
11,62 |
- |
- |
5,18 |
31/mrt/2026 |
15,32 |
3,26 |
16,80 |
-8,41 |
- |
31/mrt/2026 |
-2,51 |
2,05 |
39,08 |
- |
- |
24,20 |
31/mrt/2026 |
- |
-17,41 |
16,61 |
13,74 |
13,14 |
31/dec/2025 |
15/dec/2021 |
6.742,83 |
13,49 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2400291972 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
40,78 |
17,99 |
- |
- |
-2,00 |
31/mrt/2026 |
40,78 |
-9,86 |
29,44 |
-28,20 |
- |
31/mrt/2026 |
-0,97 |
4,45 |
64,26 |
- |
- |
-8,56 |
31/mrt/2026 |
- |
-47,80 |
28,11 |
31,18 |
9,38 |
31/dec/2025 |
27/okt/2021 |
31.047.798,94 |
27,86 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2400292194 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
4,17 |
20,36 |
-0,73 |
- |
- |
-2,03 |
31/mrt/2026 |
20,36 |
-13,04 |
-6,53 |
0,51 |
- |
31/mrt/2026 |
4,17 |
5,39 |
-2,18 |
- |
- |
-8,67 |
31/mrt/2026 |
- |
-19,20 |
6,02 |
-6,75 |
6,50 |
31/dec/2025 |
27/okt/2021 |
3.285.976,34 |
14,87 |
- |
638,83 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU2402058403 |
BSF Emerging Companies Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,20 |
4,86 |
6,20 |
- |
- |
-1,09 |
31/mrt/2026 |
4,86 |
-1,63 |
16,14 |
-7,57 |
- |
31/mrt/2026 |
-2,20 |
-1,20 |
19,79 |
- |
- |
-4,68 |
31/mrt/2026 |
- |
-22,42 |
11,22 |
10,80 |
1,96 |
31/dec/2025 |
10/nov/2021 |
- |
98,32 |
- |
228,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2377032862 |
BGF Climate Transition Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
0,73 |
19,46 |
7,12 |
- |
- |
2,22 |
31/mrt/2026 |
19,46 |
0,99 |
1,90 |
-8,21 |
- |
31/mrt/2026 |
0,73 |
6,08 |
22,93 |
- |
- |
9,90 |
31/mrt/2026 |
- |
-12,79 |
1,95 |
9,21 |
12,24 |
31/dec/2025 |
09/dec/2021 |
5.806,61 |
11,61 |
- |
47,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2377032946 |
BGF Climate Transition Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
0,82 |
19,52 |
7,18 |
- |
- |
2,28 |
31/mrt/2026 |
19,52 |
0,99 |
2,01 |
-8,21 |
- |
31/mrt/2026 |
0,82 |
6,17 |
23,13 |
- |
- |
10,20 |
31/mrt/2026 |
- |
-12,69 |
2,06 |
9,19 |
12,22 |
31/dec/2025 |
09/dec/2021 |
5.820,02 |
11,64 |
- |
47,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2377033167 |
BGF Climate Transition Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
0,98 |
20,21 |
7,80 |
- |
- |
2,88 |
31/mrt/2026 |
20,21 |
1,62 |
2,55 |
-7,58 |
- |
31/mrt/2026 |
0,98 |
6,50 |
25,28 |
- |
- |
13,00 |
31/mrt/2026 |
- |
-12,19 |
2,62 |
9,76 |
13,03 |
31/dec/2025 |
09/dec/2021 |
5.970,80 |
11,94 |
- |
47,19 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2377033241 |
BGF Climate Transition Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
0,65 |
18,85 |
6,64 |
- |
- |
1,76 |
31/mrt/2026 |
18,85 |
0,55 |
1,46 |
-8,63 |
- |
31/mrt/2026 |
0,65 |
5,89 |
21,26 |
- |
- |
7,80 |
31/mrt/2026 |
- |
-13,19 |
1,50 |
8,62 |
11,79 |
31/dec/2025 |
09/dec/2021 |
176.552,28 |
11,38 |
- |
47,19 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2377033670 |
BGF Climate Transition Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
1,34 |
22,28 |
9,11 |
- |
- |
4,28 |
31/mrt/2026 |
22,28 |
2,33 |
3,80 |
-5,61 |
- |
31/mrt/2026 |
1,34 |
7,23 |
29,88 |
- |
- |
19,80 |
31/mrt/2026 |
- |
-10,66 |
4,14 |
10,78 |
14,47 |
31/dec/2025 |
09/dec/2021 |
11.447,65 |
10,87 |
- |
47,19 |
30/apr/2026 |
Distributie |
| - |
USD |
IE000ERUGWD7 |
BlackRock Global Unconstrained Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,25 |
15,25 |
9,60 |
- |
- |
3,46 |
31/mrt/2026 |
15,25 |
-11,19 |
28,64 |
-1,17 |
- |
31/mrt/2026 |
-7,25 |
-5,58 |
31,67 |
- |
- |
16,06 |
31/mrt/2026 |
- |
-25,26 |
34,54 |
8,54 |
13,71 |
31/dec/2025 |
15/nov/2021 |
20.998.821,60 |
137,08 |
137,08 |
4.330,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000KMEY7B9 |
BlackRock Global Unconstrained Equity Fund |
BlackRock Asset Management Ireland Limited |
-5,46 |
8,05 |
7,47 |
- |
- |
3,27 |
31/mrt/2026 |
8,05 |
-11,21 |
29,37 |
1,30 |
- |
31/mrt/2026 |
-5,46 |
-3,71 |
24,12 |
- |
- |
15,13 |
31/mrt/2026 |
- |
-20,36 |
29,98 |
15,78 |
0,26 |
31/dec/2025 |
15/nov/2021 |
10.378.801,84 |
133,56 |
133,56 |
4.330,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000740ORN9 |
BlackRock Global Unconstrained Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,25 |
15,26 |
9,60 |
- |
- |
3,45 |
31/mrt/2026 |
15,26 |
-11,19 |
28,61 |
-1,18 |
- |
31/mrt/2026 |
-7,25 |
-5,58 |
31,64 |
- |
- |
16,02 |
31/mrt/2026 |
- |
-25,27 |
34,52 |
8,53 |
13,71 |
31/dec/2025 |
15/nov/2021 |
40.395.394,58 |
135,39 |
135,39 |
4.330,97 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2368540436 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,54 |
10,12 |
9,05 |
- |
- |
3,37 |
31/mrt/2026 |
10,12 |
4,60 |
12,60 |
-8,07 |
- |
31/mrt/2026 |
-1,54 |
1,68 |
29,70 |
- |
- |
15,30 |
31/mrt/2026 |
- |
-16,54 |
12,90 |
10,59 |
9,95 |
31/dec/2025 |
15/dec/2021 |
466.831,87 |
12,08 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2368536673 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,52 |
10,38 |
9,34 |
- |
- |
3,73 |
31/mrt/2026 |
10,38 |
4,85 |
12,96 |
-7,64 |
- |
31/mrt/2026 |
-1,52 |
1,74 |
30,73 |
- |
- |
17,00 |
31/mrt/2026 |
- |
-16,14 |
13,42 |
10,91 |
10,20 |
31/dec/2025 |
15/dec/2021 |
6.132,23 |
12,26 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2412548526 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,53 |
8,33 |
2,97 |
- |
- |
-4,10 |
31/mrt/2026 |
8,33 |
1,46 |
-0,67 |
-22,97 |
- |
31/mrt/2026 |
0,53 |
0,38 |
9,18 |
- |
- |
-16,38 |
31/mrt/2026 |
- |
-27,59 |
7,30 |
-6,00 |
11,52 |
31/dec/2025 |
22/dec/2021 |
- |
89,51 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2412549250 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,17 |
11,32 |
5,30 |
- |
- |
-2,04 |
31/mrt/2026 |
11,32 |
3,84 |
1,01 |
-21,55 |
- |
31/mrt/2026 |
1,17 |
1,71 |
16,76 |
- |
- |
-8,44 |
31/mrt/2026 |
- |
-26,37 |
9,28 |
-3,92 |
14,60 |
31/dec/2025 |
22/dec/2021 |
- |
98,25 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2412549508 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,10 |
6,58 |
1,27 |
- |
- |
-1,50 |
31/mrt/2026 |
6,58 |
-0,49 |
-2,07 |
- |
- |
31/mrt/2026 |
0,10 |
-0,43 |
3,87 |
- |
- |
-5,40 |
31/mrt/2026 |
- |
- |
6,11 |
-7,80 |
9,76 |
31/dec/2025 |
27/jul/2022 |
- |
71,58 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2412549177 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,09 |
6,55 |
1,23 |
- |
- |
-5,16 |
31/mrt/2026 |
6,55 |
-0,54 |
-2,09 |
-22,89 |
- |
31/mrt/2026 |
0,09 |
-0,46 |
3,75 |
- |
- |
-20,25 |
31/mrt/2026 |
- |
-27,26 |
6,09 |
-7,84 |
9,72 |
31/dec/2025 |
22/dec/2021 |
- |
85,39 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2412549094 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,73 |
9,13 |
3,68 |
- |
- |
-3,45 |
31/mrt/2026 |
9,13 |
2,08 |
0,05 |
-22,45 |
- |
31/mrt/2026 |
0,73 |
0,77 |
11,46 |
- |
- |
-13,91 |
31/mrt/2026 |
- |
-27,13 |
8,10 |
-5,43 |
12,31 |
31/dec/2025 |
22/dec/2021 |
- |
92,21 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2412548955 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,34 |
12,21 |
6,27 |
- |
- |
-0,58 |
31/mrt/2026 |
12,21 |
4,32 |
2,53 |
-18,74 |
- |
31/mrt/2026 |
1,34 |
2,00 |
20,02 |
- |
- |
-2,46 |
31/mrt/2026 |
- |
-24,11 |
11,39 |
-3,46 |
15,42 |
31/dec/2025 |
22/dec/2021 |
- |
104,69 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2412548799 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,08 |
5,79 |
0,52 |
- |
- |
-5,85 |
31/mrt/2026 |
5,79 |
-1,23 |
-2,80 |
-23,53 |
- |
31/mrt/2026 |
-0,08 |
-0,81 |
1,56 |
- |
- |
-22,71 |
31/mrt/2026 |
- |
-27,85 |
5,32 |
-8,53 |
8,99 |
31/dec/2025 |
22/dec/2021 |
- |
82,70 |
- |
1.378,79 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2412549680 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,17 |
11,31 |
5,34 |
- |
- |
2,08 |
31/mrt/2026 |
11,31 |
3,71 |
1,26 |
- |
- |
31/mrt/2026 |
1,17 |
1,72 |
16,89 |
- |
- |
7,87 |
31/mrt/2026 |
- |
- |
9,55 |
-4,02 |
14,57 |
31/dec/2025 |
27/jul/2022 |
- |
81,98 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2412548872 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,07 |
5,82 |
0,53 |
- |
- |
-5,83 |
31/mrt/2026 |
5,82 |
-1,25 |
-2,76 |
-23,47 |
- |
31/mrt/2026 |
-0,07 |
-0,80 |
1,61 |
- |
- |
-22,63 |
31/mrt/2026 |
- |
-27,80 |
5,35 |
-8,50 |
8,96 |
31/dec/2025 |
22/dec/2021 |
- |
55,56 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2419774711 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,13 |
51,75 |
7,71 |
- |
- |
2,83 |
31/mrt/2026 |
51,75 |
-15,68 |
-2,33 |
0,11 |
- |
31/mrt/2026 |
6,13 |
13,05 |
24,97 |
- |
- |
12,60 |
31/mrt/2026 |
- |
-18,84 |
11,43 |
-10,14 |
30,18 |
31/dec/2025 |
29/dec/2021 |
1.335.959,63 |
12,51 |
- |
5.086,07 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2414815147 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,35 |
5,63 |
10,15 |
- |
- |
5,12 |
31/mrt/2026 |
5,63 |
10,45 |
14,56 |
-4,04 |
- |
31/mrt/2026 |
-1,35 |
-0,24 |
33,66 |
- |
- |
23,90 |
31/mrt/2026 |
- |
-10,16 |
14,86 |
11,58 |
8,65 |
31/dec/2025 |
15/dec/2021 |
568.890,85 |
12,68 |
- |
948,98 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2368539008 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,93 |
12,89 |
9,78 |
- |
- |
3,67 |
31/mrt/2026 |
12,89 |
1,83 |
15,09 |
-9,79 |
- |
31/mrt/2026 |
-2,93 |
1,30 |
32,30 |
- |
- |
16,36 |
31/mrt/2026 |
- |
- |
14,73 |
11,93 |
11,09 |
31/dec/2025 |
18/jan/2022 |
50.237,56 |
126,14 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2368540600 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,53 |
10,17 |
9,00 |
- |
- |
3,55 |
31/mrt/2026 |
10,17 |
4,54 |
12,45 |
-8,12 |
- |
31/mrt/2026 |
-1,53 |
1,69 |
29,51 |
- |
- |
15,77 |
31/mrt/2026 |
- |
- |
12,96 |
10,40 |
10,00 |
31/dec/2025 |
18/jan/2022 |
2.132.114,24 |
9,87 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2368538703 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,94 |
8,03 |
7,53 |
- |
- |
2,29 |
31/mrt/2026 |
8,03 |
3,46 |
11,24 |
-9,06 |
- |
31/mrt/2026 |
-1,94 |
1,02 |
24,33 |
- |
- |
9,97 |
31/mrt/2026 |
- |
- |
11,46 |
9,16 |
8,19 |
31/dec/2025 |
18/jan/2022 |
13.518.148,85 |
95,13 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2368539263 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,93 |
12,88 |
9,78 |
- |
- |
3,67 |
31/mrt/2026 |
12,88 |
1,82 |
15,10 |
-9,77 |
- |
31/mrt/2026 |
-2,93 |
1,29 |
32,29 |
- |
- |
16,37 |
31/mrt/2026 |
- |
- |
14,74 |
11,93 |
11,09 |
31/dec/2025 |
18/jan/2022 |
8.042.365,39 |
101,37 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2368540865 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,94 |
8,04 |
7,53 |
- |
- |
2,29 |
31/mrt/2026 |
8,04 |
3,46 |
11,24 |
-9,04 |
- |
31/mrt/2026 |
-1,94 |
1,01 |
24,33 |
- |
- |
9,98 |
31/mrt/2026 |
- |
- |
11,46 |
9,16 |
8,20 |
31/dec/2025 |
18/jan/2022 |
50.550,32 |
115,10 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2368538968 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,60 |
15,02 |
11,25 |
- |
- |
4,95 |
31/mrt/2026 |
15,02 |
2,85 |
16,39 |
-8,81 |
- |
31/mrt/2026 |
-2,60 |
1,91 |
37,69 |
- |
- |
22,51 |
31/mrt/2026 |
- |
- |
16,12 |
13,28 |
12,93 |
31/dec/2025 |
18/jan/2022 |
3.189.709,98 |
10,44 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2368540519 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,59 |
10,02 |
8,97 |
- |
- |
4,42 |
31/mrt/2026 |
10,02 |
4,55 |
12,48 |
-8,01 |
- |
31/mrt/2026 |
-1,59 |
1,55 |
29,38 |
- |
- |
19,83 |
31/mrt/2026 |
- |
- |
12,76 |
10,56 |
9,91 |
31/dec/2025 |
25/jan/2022 |
70.161,53 |
11,80 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2368539180 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,93 |
12,88 |
9,78 |
- |
- |
4,81 |
31/mrt/2026 |
12,88 |
1,83 |
15,09 |
-9,78 |
- |
31/mrt/2026 |
-2,93 |
1,30 |
32,30 |
- |
- |
21,70 |
31/mrt/2026 |
- |
- |
14,74 |
11,94 |
11,08 |
31/dec/2025 |
25/jan/2022 |
48.944,53 |
125,85 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2368540949 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,94 |
8,03 |
7,53 |
- |
- |
3,14 |
31/mrt/2026 |
8,03 |
3,45 |
11,25 |
-9,04 |
- |
31/mrt/2026 |
-1,94 |
1,02 |
24,33 |
- |
- |
13,81 |
31/mrt/2026 |
- |
- |
11,45 |
9,15 |
8,20 |
31/dec/2025 |
25/jan/2022 |
75.183,43 |
111,77 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2368538885 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,55 |
15,07 |
11,27 |
- |
- |
6,10 |
31/mrt/2026 |
15,07 |
2,88 |
16,37 |
-8,81 |
- |
31/mrt/2026 |
-2,55 |
1,87 |
37,76 |
- |
- |
28,11 |
31/mrt/2026 |
- |
- |
16,23 |
13,28 |
12,83 |
31/dec/2025 |
25/jan/2022 |
161.783,83 |
13,28 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2368537135 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,00 |
7,27 |
5,25 |
- |
- |
1,31 |
31/mrt/2026 |
7,27 |
3,44 |
5,08 |
-6,34 |
- |
31/mrt/2026 |
-1,00 |
1,47 |
16,60 |
- |
- |
5,60 |
31/mrt/2026 |
- |
- |
6,99 |
4,53 |
8,20 |
31/dec/2025 |
18/jan/2022 |
1.045.268,27 |
9,07 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2368537481 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
5,24 |
3,85 |
- |
- |
0,06 |
31/mrt/2026 |
5,24 |
2,38 |
3,95 |
-7,44 |
- |
31/mrt/2026 |
-1,33 |
0,85 |
12,00 |
- |
- |
0,24 |
31/mrt/2026 |
- |
- |
5,57 |
3,29 |
6,47 |
31/dec/2025 |
18/jan/2022 |
603.672,67 |
87,38 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2368537218 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
5,24 |
3,85 |
- |
- |
0,05 |
31/mrt/2026 |
5,24 |
2,38 |
3,94 |
-7,45 |
- |
31/mrt/2026 |
-1,33 |
0,85 |
11,99 |
- |
- |
0,23 |
31/mrt/2026 |
- |
- |
5,57 |
3,29 |
6,47 |
31/dec/2025 |
18/jan/2022 |
40.070,40 |
102,94 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2368537309 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,34 |
5,23 |
3,85 |
- |
- |
0,37 |
31/mrt/2026 |
5,23 |
2,39 |
3,95 |
-7,43 |
- |
31/mrt/2026 |
-1,34 |
0,84 |
12,00 |
- |
- |
1,57 |
31/mrt/2026 |
- |
- |
5,57 |
3,30 |
6,48 |
31/dec/2025 |
25/jan/2022 |
36.700,83 |
94,37 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2368537051 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,02 |
7,17 |
5,23 |
- |
- |
1,62 |
31/mrt/2026 |
7,17 |
3,46 |
5,10 |
-6,36 |
- |
31/mrt/2026 |
-1,02 |
1,36 |
16,54 |
- |
- |
6,96 |
31/mrt/2026 |
- |
- |
6,86 |
4,58 |
8,23 |
31/dec/2025 |
25/jan/2022 |
34.744,08 |
9,97 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2374593429 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,30 |
0,17 |
2,22 |
- |
- |
1,77 |
31/mrt/2026 |
0,17 |
2,92 |
3,60 |
- |
- |
31/mrt/2026 |
-0,30 |
-0,41 |
6,80 |
- |
- |
6,47 |
31/mrt/2026 |
- |
- |
2,64 |
4,46 |
0,52 |
31/dec/2025 |
06/sep/2022 |
1.524.696,98 |
94,58 |
- |
304,18 |
29/apr/2026 |
Distributie |
| - |
CNH |
LU2374593346 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,31 |
0,16 |
2,21 |
- |
- |
1,77 |
31/mrt/2026 |
0,16 |
2,91 |
3,60 |
- |
- |
31/mrt/2026 |
-0,31 |
-0,41 |
6,79 |
- |
- |
6,47 |
31/mrt/2026 |
- |
- |
2,64 |
4,46 |
0,51 |
31/dec/2025 |
06/sep/2022 |
36.971,87 |
106,67 |
- |
304,18 |
29/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2368541160 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-2,16 |
6,90 |
5,98 |
- |
- |
2,97 |
31/mrt/2026 |
6,90 |
1,78 |
9,39 |
-9,55 |
- |
31/mrt/2026 |
-2,16 |
0,35 |
19,02 |
- |
- |
12,63 |
31/mrt/2026 |
- |
- |
9,60 |
7,27 |
6,97 |
31/dec/2025 |
09/mrt/2022 |
187.863,21 |
117,75 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU2368536327 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,62 |
9,02 |
7,57 |
- |
- |
4,18 |
31/mrt/2026 |
9,02 |
3,24 |
10,61 |
-10,15 |
- |
31/mrt/2026 |
-1,62 |
1,40 |
24,49 |
- |
- |
18,00 |
31/mrt/2026 |
- |
- |
10,55 |
8,92 |
8,83 |
31/dec/2025 |
15/mrt/2022 |
67.530,93 |
11,62 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2368536590 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,58 |
9,14 |
7,59 |
- |
- |
3,34 |
31/mrt/2026 |
9,14 |
3,13 |
10,64 |
-10,22 |
- |
31/mrt/2026 |
-1,58 |
1,52 |
24,54 |
- |
- |
14,33 |
31/mrt/2026 |
- |
- |
10,55 |
8,87 |
8,85 |
31/dec/2025 |
02/mrt/2022 |
78.384,21 |
9,65 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2368538455 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-2,17 |
6,91 |
5,98 |
- |
- |
2,43 |
31/mrt/2026 |
6,91 |
1,79 |
9,37 |
-9,56 |
- |
31/mrt/2026 |
-2,17 |
0,34 |
19,02 |
- |
- |
10,29 |
31/mrt/2026 |
- |
- |
9,60 |
7,26 |
6,99 |
31/dec/2025 |
02/mrt/2022 |
2.876.569,34 |
94,28 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2368538026 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,02 |
6,47 |
4,11 |
- |
- |
1,49 |
31/mrt/2026 |
6,47 |
2,48 |
3,41 |
-7,93 |
- |
31/mrt/2026 |
-1,02 |
1,29 |
12,83 |
- |
- |
6,18 |
31/mrt/2026 |
- |
- |
4,98 |
3,25 |
7,40 |
31/dec/2025 |
15/mrt/2022 |
7.403,93 |
9,89 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2368538299 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,02 |
6,42 |
4,08 |
- |
- |
0,84 |
31/mrt/2026 |
6,42 |
2,44 |
3,44 |
-7,81 |
- |
31/mrt/2026 |
-1,02 |
1,23 |
12,76 |
- |
- |
3,49 |
31/mrt/2026 |
- |
- |
4,93 |
3,23 |
7,44 |
31/dec/2025 |
02/mrt/2022 |
49.269,44 |
8,83 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2368537564 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,56 |
4,20 |
2,37 |
- |
- |
0,06 |
31/mrt/2026 |
4,20 |
0,72 |
2,20 |
-7,70 |
- |
31/mrt/2026 |
-1,56 |
0,18 |
7,27 |
- |
- |
0,23 |
31/mrt/2026 |
- |
- |
3,83 |
1,48 |
5,37 |
31/dec/2025 |
09/mrt/2022 |
3.359.071,37 |
102,85 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2368537721 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,56 |
4,21 |
2,36 |
- |
- |
-0,31 |
31/mrt/2026 |
4,21 |
0,71 |
2,18 |
-7,69 |
- |
31/mrt/2026 |
-1,56 |
0,18 |
7,24 |
- |
- |
-1,24 |
31/mrt/2026 |
- |
- |
3,80 |
1,47 |
5,38 |
31/dec/2025 |
02/mrt/2022 |
1.243.350,82 |
85,10 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2368537994 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,04 |
6,49 |
4,09 |
- |
- |
1,21 |
31/mrt/2026 |
6,49 |
2,39 |
3,44 |
-7,82 |
- |
31/mrt/2026 |
-1,04 |
1,25 |
12,78 |
- |
- |
5,00 |
31/mrt/2026 |
- |
- |
4,82 |
3,24 |
7,50 |
31/dec/2025 |
09/mrt/2022 |
27.641,02 |
10,81 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2368539420 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-3,15 |
11,57 |
8,19 |
- |
- |
5,00 |
31/mrt/2026 |
11,57 |
0,30 |
13,17 |
-10,48 |
- |
31/mrt/2026 |
-3,15 |
0,63 |
26,65 |
- |
- |
21,81 |
31/mrt/2026 |
- |
- |
12,79 |
10,07 |
9,75 |
31/dec/2025 |
15/mrt/2022 |
122.076,30 |
125,88 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2368539933 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,69 |
13,44 |
9,61 |
- |
- |
4,82 |
31/mrt/2026 |
13,44 |
1,50 |
14,38 |
-11,12 |
- |
31/mrt/2026 |
-2,69 |
1,68 |
31,70 |
- |
- |
21,15 |
31/mrt/2026 |
- |
- |
13,63 |
11,63 |
11,28 |
31/dec/2025 |
02/mrt/2022 |
509.461,37 |
10,17 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2368539859 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,68 |
13,47 |
9,61 |
- |
- |
5,76 |
31/mrt/2026 |
13,47 |
1,51 |
14,32 |
-11,15 |
- |
31/mrt/2026 |
-2,68 |
1,65 |
31,68 |
- |
- |
25,41 |
31/mrt/2026 |
- |
- |
13,69 |
11,55 |
11,38 |
31/dec/2025 |
15/mrt/2022 |
9.046,82 |
13,00 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2368539776 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,67 |
13,44 |
9,59 |
- |
- |
5,46 |
31/mrt/2026 |
13,44 |
1,48 |
14,32 |
-11,12 |
- |
31/mrt/2026 |
-2,67 |
1,64 |
31,60 |
- |
- |
24,10 |
31/mrt/2026 |
- |
- |
13,62 |
11,70 |
11,26 |
31/dec/2025 |
09/mrt/2022 |
45.574,47 |
13,47 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2368539693 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-3,14 |
11,58 |
8,19 |
- |
- |
4,08 |
31/mrt/2026 |
11,58 |
0,29 |
13,18 |
-10,50 |
- |
31/mrt/2026 |
-3,14 |
0,63 |
26,65 |
- |
- |
17,69 |
31/mrt/2026 |
- |
- |
12,77 |
10,09 |
9,75 |
31/dec/2025 |
02/mrt/2022 |
5.935.589,14 |
99,91 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2368539347 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-3,15 |
11,58 |
8,18 |
- |
- |
4,72 |
31/mrt/2026 |
11,58 |
0,26 |
13,18 |
-10,47 |
- |
31/mrt/2026 |
-3,15 |
0,63 |
26,61 |
- |
- |
20,60 |
31/mrt/2026 |
- |
- |
12,79 |
10,04 |
9,76 |
31/dec/2025 |
09/mrt/2022 |
1.106.395,66 |
130,56 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| WENE |
USD |
IE000MELAE65 |
iShares MSCI World Energy Sector Advanced UCITS ETF |
iShares V plc |
36,40 |
41,44 |
19,99 |
- |
- |
16,00 |
31/mrt/2026 |
41,44 |
1,90 |
19,87 |
- |
- |
31/mrt/2026 |
36,40 |
38,87 |
72,77 |
- |
- |
80,56 |
31/mrt/2026 |
- |
- |
8,98 |
0,58 |
12,44 |
31/dec/2025 |
07/apr/2022 |
170.888.003,25 |
7,74 |
- |
170,89 |
01/mei/2026 |
Distributie |
| WCMS |
USD |
IE00BJ5JP436 |
iShares MSCI World Communication Services Sector Advanced UCITS ETF |
iShares V plc |
-6,99 |
25,91 |
23,32 |
- |
- |
11,58 |
31/mrt/2026 |
25,91 |
11,60 |
33,46 |
- |
- |
31/mrt/2026 |
-6,99 |
-4,54 |
87,52 |
- |
- |
54,69 |
31/mrt/2026 |
- |
- |
34,61 |
30,35 |
29,93 |
31/dec/2025 |
07/apr/2022 |
148.777.595,79 |
8,24 |
- |
148,78 |
01/mei/2026 |
Distributie |
| WMTS |
USD |
IE00BJ5JP766 |
iShares MSCI World Materials Sector Advanced UCITS ETF |
iShares V plc |
6,49 |
27,82 |
9,67 |
- |
- |
4,28 |
31/mrt/2026 |
27,82 |
-5,32 |
9,00 |
- |
- |
31/mrt/2026 |
6,49 |
10,87 |
31,92 |
- |
- |
18,15 |
31/mrt/2026 |
- |
- |
11,17 |
-4,50 |
23,90 |
31/dec/2025 |
07/apr/2022 |
53.615.617,86 |
5,59 |
- |
53,62 |
01/mei/2026 |
Distributie |
| WINS |
USD |
IE00BJ5JP659 |
iShares MSCI World Industrials Sector Advanced UCITS ETF |
iShares V plc |
1,29 |
21,31 |
15,88 |
- |
- |
12,82 |
31/mrt/2026 |
21,31 |
4,33 |
22,96 |
- |
- |
31/mrt/2026 |
1,29 |
3,37 |
55,62 |
- |
- |
61,63 |
31/mrt/2026 |
- |
- |
23,85 |
13,07 |
18,80 |
31/dec/2025 |
07/apr/2022 |
123.698.021,57 |
8,22 |
- |
123,70 |
01/mei/2026 |
Distributie |
| - |
USD |
LU2448342563 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
0,09 |
13,05 |
14,07 |
- |
- |
9,80 |
31/mrt/2026 |
13,05 |
10,11 |
19,22 |
-6,04 |
- |
31/mrt/2026 |
0,09 |
1,83 |
48,41 |
- |
- |
45,87 |
31/mrt/2026 |
- |
- |
16,84 |
17,75 |
13,59 |
31/dec/2025 |
16/mrt/2022 |
2.282.849,29 |
11,85 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2448342308 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,09 |
12,07 |
13,08 |
- |
- |
8,83 |
31/mrt/2026 |
12,07 |
9,14 |
18,21 |
-6,84 |
- |
31/mrt/2026 |
-0,09 |
1,42 |
44,59 |
- |
- |
40,77 |
31/mrt/2026 |
- |
- |
15,72 |
16,71 |
12,61 |
31/dec/2025 |
16/mrt/2022 |
1.982.579,69 |
11,41 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2448342480 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-1,21 |
6,97 |
8,33 |
- |
- |
4,35 |
31/mrt/2026 |
6,97 |
4,77 |
13,43 |
-10,62 |
- |
31/mrt/2026 |
-1,21 |
-0,88 |
27,12 |
- |
- |
18,74 |
31/mrt/2026 |
- |
- |
10,64 |
12,28 |
7,57 |
31/dec/2025 |
16/mrt/2022 |
1.050.230,86 |
9,54 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2448342647 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-1,06 |
7,90 |
9,27 |
- |
- |
5,28 |
31/mrt/2026 |
7,90 |
5,70 |
14,40 |
-9,72 |
- |
31/mrt/2026 |
-1,06 |
-0,43 |
30,48 |
- |
- |
23,09 |
31/mrt/2026 |
- |
- |
11,69 |
13,25 |
8,60 |
31/dec/2025 |
16/mrt/2022 |
11.123.696,59 |
9,91 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2451793322 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,06 |
10,27 |
3,85 |
- |
- |
-2,56 |
31/mrt/2026 |
10,27 |
2,20 |
-0,62 |
-21,66 |
- |
31/mrt/2026 |
1,06 |
1,41 |
12,00 |
- |
- |
-9,89 |
31/mrt/2026 |
- |
- |
7,45 |
-5,62 |
13,29 |
31/dec/2025 |
23/mrt/2022 |
- |
65,10 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU2451793595 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,62 |
8,95 |
3,89 |
- |
- |
-2,19 |
31/mrt/2026 |
8,95 |
2,02 |
0,88 |
-20,57 |
- |
31/mrt/2026 |
0,62 |
0,60 |
12,13 |
- |
- |
-8,52 |
31/mrt/2026 |
- |
- |
9,32 |
-5,30 |
12,15 |
31/dec/2025 |
23/mrt/2022 |
- |
66,08 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2451793678 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,54 |
8,22 |
2,51 |
- |
- |
-3,26 |
31/mrt/2026 |
8,22 |
0,67 |
-1,13 |
-20,95 |
- |
31/mrt/2026 |
0,54 |
0,34 |
7,72 |
- |
- |
-12,47 |
31/mrt/2026 |
- |
- |
7,32 |
-7,13 |
11,51 |
31/dec/2025 |
23/mrt/2022 |
- |
629,84 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2452424687 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,98 |
10,73 |
4,62 |
- |
- |
1,43 |
31/mrt/2026 |
10,73 |
-1,17 |
4,62 |
-7,92 |
- |
31/mrt/2026 |
-1,98 |
1,25 |
14,50 |
- |
- |
5,89 |
31/mrt/2026 |
- |
- |
4,43 |
5,32 |
8,34 |
31/dec/2025 |
23/mrt/2022 |
55.763.835,56 |
92,13 |
- |
2.881,28 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2452424414 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-1,45 |
13,99 |
7,55 |
- |
- |
3,85 |
31/mrt/2026 |
13,99 |
1,32 |
7,73 |
-6,78 |
- |
31/mrt/2026 |
-1,45 |
2,51 |
24,41 |
- |
- |
16,32 |
31/mrt/2026 |
- |
- |
7,55 |
8,41 |
11,29 |
31/dec/2025 |
30/mrt/2022 |
16.690.131,26 |
10,12 |
- |
2.881,28 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2452424505 |
ESG Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-2,06 |
10,74 |
5,28 |
- |
- |
2,01 |
31/mrt/2026 |
10,74 |
-0,47 |
5,88 |
-7,53 |
- |
31/mrt/2026 |
-2,06 |
1,01 |
16,70 |
- |
- |
8,35 |
31/mrt/2026 |
- |
- |
5,69 |
6,51 |
8,43 |
31/dec/2025 |
23/mrt/2022 |
1.866.720,39 |
9,63 |
- |
2.881,28 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2465791643 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,08 |
47,48 |
18,04 |
- |
- |
5,30 |
31/mrt/2026 |
47,48 |
-11,77 |
26,41 |
- |
- |
31/mrt/2026 |
-3,08 |
2,00 |
64,48 |
- |
- |
22,70 |
31/mrt/2026 |
- |
- |
29,73 |
20,60 |
21,50 |
31/dec/2025 |
13/apr/2022 |
3.583.908,56 |
16,20 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
NZD |
LU2465791726 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-3,59 |
46,30 |
18,64 |
- |
- |
6,09 |
31/mrt/2026 |
46,30 |
-10,74 |
27,87 |
- |
- |
31/mrt/2026 |
-3,59 |
1,20 |
66,98 |
- |
- |
26,40 |
31/mrt/2026 |
- |
- |
31,45 |
21,78 |
21,50 |
31/dec/2025 |
13/apr/2022 |
12.232,14 |
16,73 |
- |
2.823,21 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2467650227 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,98 |
-0,50 |
1,28 |
- |
- |
-0,31 |
31/mrt/2026 |
-0,50 |
1,64 |
2,73 |
- |
- |
31/mrt/2026 |
-1,98 |
-1,98 |
3,89 |
- |
- |
-1,20 |
31/mrt/2026 |
- |
- |
2,63 |
1,02 |
2,23 |
31/dec/2025 |
04/mei/2022 |
80.780,32 |
9,99 |
- |
316,97 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2472302624 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,71 |
6,10 |
6,09 |
- |
- |
4,47 |
31/mrt/2026 |
6,10 |
3,76 |
8,48 |
- |
- |
31/mrt/2026 |
-1,71 |
-0,44 |
19,41 |
- |
- |
18,51 |
31/mrt/2026 |
- |
- |
8,88 |
5,17 |
8,65 |
31/dec/2025 |
11/mei/2022 |
507.784,04 |
9,63 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2471417829 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,16 |
14,73 |
10,17 |
- |
- |
7,58 |
31/mrt/2026 |
14,73 |
1,94 |
14,33 |
- |
- |
31/mrt/2026 |
-4,16 |
-1,22 |
33,71 |
- |
- |
33,20 |
31/mrt/2026 |
- |
- |
16,42 |
8,90 |
17,44 |
31/dec/2025 |
27/apr/2022 |
6.598,17 |
13,20 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2471417662 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,10 |
14,81 |
10,20 |
- |
- |
7,60 |
31/mrt/2026 |
14,81 |
1,93 |
14,36 |
- |
- |
31/mrt/2026 |
-4,10 |
-1,11 |
33,83 |
- |
- |
33,30 |
31/mrt/2026 |
- |
- |
16,38 |
8,83 |
17,50 |
31/dec/2025 |
27/apr/2022 |
7.215,31 |
14,43 |
- |
1.080,21 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2471417589 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,97 |
20,57 |
5,85 |
- |
- |
5,44 |
31/mrt/2026 |
20,57 |
17,90 |
-16,57 |
- |
- |
31/mrt/2026 |
-0,97 |
0,74 |
18,59 |
- |
- |
23,10 |
31/mrt/2026 |
- |
- |
-12,70 |
16,55 |
25,18 |
31/dec/2025 |
27/apr/2022 |
6.792,58 |
13,59 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2471418397 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
0,12 |
13,15 |
14,12 |
- |
- |
10,54 |
31/mrt/2026 |
13,15 |
10,07 |
19,35 |
- |
- |
31/mrt/2026 |
0,12 |
1,91 |
48,63 |
- |
- |
48,17 |
31/mrt/2026 |
- |
- |
16,80 |
17,79 |
13,66 |
31/dec/2025 |
27/apr/2022 |
5.825,16 |
11,65 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2471418041 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
0,07 |
13,05 |
14,10 |
- |
- |
10,52 |
31/mrt/2026 |
13,05 |
10,08 |
19,36 |
- |
- |
31/mrt/2026 |
0,07 |
1,86 |
48,55 |
- |
- |
48,10 |
31/mrt/2026 |
- |
- |
16,79 |
17,72 |
13,67 |
31/dec/2025 |
27/apr/2022 |
7.882,03 |
15,76 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU0612325679 |
BGF Natural Resources Growth & Income Fund |
BlackRock (Luxembourg) S.A. |
20,18 |
35,51 |
11,74 |
- |
- |
8,44 |
31/mrt/2026 |
35,51 |
0,70 |
2,24 |
- |
- |
31/mrt/2026 |
20,18 |
29,25 |
39,51 |
- |
- |
37,00 |
31/mrt/2026 |
- |
- |
-4,62 |
2,27 |
14,92 |
31/dec/2025 |
11/mei/2022 |
13.115.748,09 |
13,31 |
- |
421,31 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2490080954 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
0,09 |
13,03 |
14,07 |
- |
- |
12,91 |
31/mrt/2026 |
13,03 |
10,17 |
19,20 |
- |
- |
31/mrt/2026 |
0,09 |
1,89 |
48,43 |
- |
- |
57,34 |
31/mrt/2026 |
- |
- |
16,75 |
17,74 |
13,68 |
31/dec/2025 |
06/jul/2022 |
210.613.727,60 |
12,59 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2499270150 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,72 |
9,12 |
3,67 |
- |
- |
0,51 |
31/mrt/2026 |
9,12 |
2,08 |
0,03 |
- |
- |
31/mrt/2026 |
0,72 |
0,76 |
11,42 |
- |
- |
1,90 |
31/mrt/2026 |
- |
- |
8,05 |
-5,42 |
12,31 |
31/dec/2025 |
27/jul/2022 |
- |
76,41 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2499270077 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
1,34 |
12,19 |
6,27 |
- |
- |
3,49 |
31/mrt/2026 |
12,19 |
4,32 |
2,53 |
- |
- |
31/mrt/2026 |
1,34 |
1,99 |
20,00 |
- |
- |
13,45 |
31/mrt/2026 |
- |
- |
11,37 |
-3,46 |
15,41 |
31/dec/2025 |
27/jul/2022 |
- |
85,32 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2499270234 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
0,56 |
8,77 |
3,69 |
- |
- |
1,00 |
31/mrt/2026 |
8,77 |
2,00 |
0,50 |
- |
- |
31/mrt/2026 |
0,56 |
0,42 |
11,50 |
- |
- |
3,72 |
31/mrt/2026 |
- |
- |
9,08 |
-5,56 |
12,17 |
31/dec/2025 |
27/jul/2022 |
- |
77,64 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2488122065 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-6,38 |
8,81 |
5,63 |
- |
- |
6,56 |
31/mrt/2026 |
8,81 |
-2,30 |
10,86 |
- |
- |
31/mrt/2026 |
-6,38 |
-3,63 |
17,85 |
- |
- |
24,80 |
31/mrt/2026 |
- |
- |
10,23 |
5,80 |
12,39 |
31/dec/2025 |
04/okt/2022 |
100.417,59 |
13,31 |
- |
225,90 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2488121927 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,11 |
4,75 |
5,92 |
- |
- |
4,55 |
31/mrt/2026 |
4,75 |
-0,71 |
14,24 |
- |
- |
31/mrt/2026 |
-4,11 |
-0,76 |
18,82 |
- |
- |
16,80 |
31/mrt/2026 |
- |
- |
9,22 |
14,88 |
1,75 |
31/dec/2025 |
04/okt/2022 |
53.791,96 |
12,32 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2488121760 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,85 |
5,89 |
7,16 |
- |
- |
5,76 |
31/mrt/2026 |
5,89 |
0,52 |
15,59 |
- |
- |
31/mrt/2026 |
-3,85 |
-0,24 |
23,04 |
- |
- |
21,57 |
31/mrt/2026 |
- |
- |
10,50 |
16,18 |
3,00 |
31/dec/2025 |
04/okt/2022 |
9.904.636,51 |
12,91 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2488121257 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-5,62 |
12,21 |
8,49 |
- |
- |
9,62 |
31/mrt/2026 |
12,21 |
-0,09 |
13,90 |
- |
- |
31/mrt/2026 |
-5,62 |
-2,20 |
27,71 |
- |
- |
37,79 |
31/mrt/2026 |
- |
- |
13,63 |
8,22 |
15,60 |
31/dec/2025 |
04/okt/2022 |
7.367,96 |
14,74 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2488121844 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-6,07 |
10,08 |
6,88 |
- |
- |
7,79 |
31/mrt/2026 |
10,08 |
-1,17 |
12,22 |
- |
- |
31/mrt/2026 |
-6,07 |
-3,06 |
22,09 |
- |
- |
29,90 |
31/mrt/2026 |
- |
- |
11,47 |
7,04 |
13,64 |
31/dec/2025 |
04/okt/2022 |
16.749,95 |
13,86 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2488121414 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-6,20 |
9,39 |
6,18 |
- |
- |
7,09 |
31/mrt/2026 |
9,39 |
-1,78 |
11,40 |
- |
- |
31/mrt/2026 |
-6,20 |
-3,35 |
19,70 |
- |
- |
27,00 |
31/mrt/2026 |
- |
- |
10,71 |
6,39 |
12,93 |
31/dec/2025 |
04/okt/2022 |
166.675,73 |
13,55 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2488121331 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,02 |
5,19 |
6,44 |
- |
- |
5,06 |
31/mrt/2026 |
5,19 |
-0,18 |
14,83 |
- |
- |
31/mrt/2026 |
-4,02 |
-0,50 |
20,59 |
- |
- |
18,79 |
31/mrt/2026 |
- |
- |
9,68 |
15,46 |
2,30 |
31/dec/2025 |
04/okt/2022 |
98.100.772,66 |
12,60 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2488121687 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-5,43 |
13,06 |
9,22 |
- |
- |
10,37 |
31/mrt/2026 |
13,06 |
0,56 |
14,59 |
- |
- |
31/mrt/2026 |
-5,43 |
-1,88 |
30,29 |
- |
- |
41,10 |
31/mrt/2026 |
- |
- |
14,38 |
8,92 |
16,38 |
31/dec/2025 |
04/okt/2022 |
7.546,57 |
15,09 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2488121505 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,96 |
5,24 |
6,46 |
- |
- |
5,07 |
31/mrt/2026 |
5,24 |
-0,15 |
14,82 |
- |
- |
31/mrt/2026 |
-3,96 |
-0,51 |
20,65 |
- |
- |
18,84 |
31/mrt/2026 |
- |
- |
9,78 |
15,45 |
2,23 |
31/dec/2025 |
04/okt/2022 |
6.465,55 |
12,28 |
- |
226,78 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2488122578 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-5,43 |
13,33 |
9,59 |
- |
- |
10,75 |
31/mrt/2026 |
13,33 |
0,96 |
15,02 |
- |
- |
31/mrt/2026 |
-5,43 |
-1,72 |
31,61 |
- |
- |
42,80 |
31/mrt/2026 |
- |
- |
14,76 |
9,39 |
16,78 |
31/dec/2025 |
04/okt/2022 |
13.013.854,33 |
15,29 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| CBUP |
EUR |
IE000IZO7033 |
iShares € Green Bond UCITS ETF |
iShares II plc |
-0,74 |
1,44 |
2,74 |
- |
- |
-0,49 |
31/mrt/2026 |
1,44 |
1,46 |
5,36 |
- |
- |
31/mrt/2026 |
-0,74 |
-0,56 |
8,44 |
- |
- |
-1,77 |
31/mrt/2026 |
- |
- |
8,14 |
2,37 |
1,00 |
31/dec/2025 |
03/aug/2022 |
59.132.881,98 |
245,84 |
- |
144,83 |
01/mei/2026 |
Kapitalisatie |
| - |
SGD |
LU2496683975 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-1,27 |
7,14 |
7,08 |
- |
- |
8,13 |
31/mrt/2026 |
7,14 |
3,39 |
10,84 |
- |
- |
31/mrt/2026 |
-1,27 |
-0,19 |
22,78 |
- |
- |
31,69 |
31/mrt/2026 |
- |
- |
9,56 |
7,81 |
8,51 |
31/dec/2025 |
22/sep/2022 |
4.547.337,89 |
10,67 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2496683389 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,56 |
10,51 |
9,56 |
- |
- |
10,45 |
31/mrt/2026 |
10,51 |
5,33 |
12,97 |
- |
- |
31/mrt/2026 |
-0,56 |
1,28 |
31,51 |
- |
- |
41,90 |
31/mrt/2026 |
- |
- |
11,49 |
9,88 |
11,57 |
31/dec/2025 |
22/sep/2022 |
4.164.892,88 |
14,68 |
- |
747,51 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2496683546 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,56 |
10,47 |
9,50 |
- |
- |
10,41 |
31/mrt/2026 |
10,47 |
5,28 |
12,88 |
- |
- |
31/mrt/2026 |
-0,56 |
1,25 |
31,29 |
- |
- |
41,76 |
31/mrt/2026 |
- |
- |
11,48 |
9,72 |
11,56 |
31/dec/2025 |
22/sep/2022 |
106.602.543,39 |
11,55 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2496683892 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,92 |
8,41 |
8,10 |
- |
- |
9,02 |
31/mrt/2026 |
8,41 |
4,26 |
11,77 |
- |
- |
31/mrt/2026 |
-0,92 |
0,67 |
26,33 |
- |
- |
35,54 |
31/mrt/2026 |
- |
- |
10,12 |
8,61 |
9,71 |
31/dec/2025 |
22/sep/2022 |
48.880.683,38 |
110,08 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2496683462 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,55 |
10,44 |
9,54 |
- |
- |
10,45 |
31/mrt/2026 |
10,44 |
5,41 |
12,90 |
- |
- |
31/mrt/2026 |
-0,55 |
1,28 |
31,44 |
- |
- |
41,92 |
31/mrt/2026 |
- |
- |
11,43 |
9,90 |
11,55 |
31/dec/2025 |
22/sep/2022 |
5.900,74 |
11,80 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2496684197 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-1,14 |
7,20 |
6,51 |
- |
- |
7,43 |
31/mrt/2026 |
7,20 |
2,66 |
9,80 |
- |
- |
31/mrt/2026 |
-1,14 |
-0,01 |
20,84 |
- |
- |
28,72 |
31/mrt/2026 |
- |
- |
8,26 |
6,79 |
8,41 |
31/dec/2025 |
22/sep/2022 |
677.786.156,18 |
104,26 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2501015114 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,57 |
9,76 |
8,44 |
- |
- |
6,29 |
31/mrt/2026 |
9,76 |
4,18 |
11,52 |
- |
- |
31/mrt/2026 |
-1,57 |
1,55 |
27,52 |
- |
- |
24,99 |
31/mrt/2026 |
- |
- |
11,55 |
9,94 |
9,73 |
31/dec/2025 |
03/aug/2022 |
4.442,20 |
10,80 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU2501014810 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-2,00 |
8,16 |
7,54 |
- |
- |
5,86 |
31/mrt/2026 |
8,16 |
3,05 |
11,58 |
- |
- |
31/mrt/2026 |
-2,00 |
0,67 |
24,36 |
- |
- |
23,17 |
31/mrt/2026 |
- |
- |
11,99 |
9,20 |
8,02 |
31/dec/2025 |
03/aug/2022 |
6.777,04 |
10,57 |
- |
43,16 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU2501013846 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-2,01 |
8,07 |
7,52 |
- |
- |
5,57 |
31/mrt/2026 |
8,07 |
3,02 |
11,63 |
- |
- |
31/mrt/2026 |
-2,01 |
0,66 |
24,29 |
- |
- |
21,80 |
31/mrt/2026 |
- |
- |
11,89 |
9,20 |
7,99 |
31/dec/2025 |
10/aug/2022 |
9.598,89 |
12,76 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2501014067 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-0,96 |
6,99 |
4,79 |
- |
- |
2,95 |
31/mrt/2026 |
6,99 |
3,11 |
4,32 |
- |
- |
31/mrt/2026 |
-0,96 |
1,45 |
15,08 |
- |
- |
11,17 |
31/mrt/2026 |
- |
- |
5,73 |
4,06 |
8,01 |
31/dec/2025 |
10/aug/2022 |
30.021,16 |
10,42 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2501015031 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,69 |
14,32 |
10,68 |
- |
- |
8,31 |
31/mrt/2026 |
14,32 |
2,87 |
15,28 |
- |
- |
31/mrt/2026 |
-2,69 |
1,78 |
35,57 |
- |
- |
33,90 |
31/mrt/2026 |
- |
- |
14,69 |
12,86 |
12,63 |
31/dec/2025 |
03/aug/2022 |
72.370,87 |
11,59 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2501014141 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,72 |
14,26 |
10,68 |
- |
- |
7,97 |
31/mrt/2026 |
14,26 |
2,84 |
15,38 |
- |
- |
31/mrt/2026 |
-2,72 |
1,69 |
35,59 |
- |
- |
32,20 |
31/mrt/2026 |
- |
- |
14,70 |
12,82 |
12,69 |
31/dec/2025 |
10/aug/2022 |
9.465,55 |
14,35 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU2501013689 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,34 |
5,37 |
3,91 |
- |
- |
2,47 |
31/mrt/2026 |
5,37 |
1,99 |
4,40 |
- |
- |
31/mrt/2026 |
-1,34 |
0,60 |
12,20 |
- |
- |
9,30 |
31/mrt/2026 |
- |
- |
6,03 |
3,44 |
6,27 |
31/dec/2025 |
10/aug/2022 |
6.584,05 |
10,22 |
- |
13,70 |
30/apr/2026 |
Distributie |
| - |
CAD |
LU2501013762 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-3,12 |
12,90 |
9,77 |
- |
- |
7,57 |
31/mrt/2026 |
12,90 |
1,49 |
15,42 |
- |
- |
31/mrt/2026 |
-3,12 |
0,85 |
32,25 |
- |
- |
30,40 |
31/mrt/2026 |
- |
- |
15,11 |
12,11 |
10,96 |
31/dec/2025 |
10/aug/2022 |
9.127,13 |
14,17 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU2501014737 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-3,14 |
12,94 |
9,78 |
- |
- |
7,90 |
31/mrt/2026 |
12,94 |
1,48 |
15,43 |
- |
- |
31/mrt/2026 |
-3,14 |
0,89 |
32,30 |
- |
- |
32,08 |
31/mrt/2026 |
- |
- |
15,15 |
12,13 |
10,98 |
31/dec/2025 |
03/aug/2022 |
10.989,66 |
11,34 |
- |
49,37 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2508726747 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
2,62 |
9,26 |
3,74 |
- |
- |
0,17 |
31/mrt/2026 |
9,26 |
1,80 |
0,37 |
- |
- |
31/mrt/2026 |
2,62 |
3,33 |
11,64 |
- |
- |
0,61 |
31/mrt/2026 |
- |
- |
5,46 |
-2,02 |
7,51 |
31/dec/2025 |
10/aug/2022 |
- |
74,30 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2521848999 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,18 |
7,42 |
6,78 |
- |
- |
3,49 |
31/mrt/2026 |
7,42 |
2,81 |
10,24 |
- |
- |
31/mrt/2026 |
-0,18 |
-0,32 |
21,76 |
- |
- |
12,99 |
31/mrt/2026 |
- |
- |
12,66 |
-0,16 |
8,32 |
31/dec/2025 |
07/sep/2022 |
5.469,16 |
10,94 |
- |
199,52 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2474805798 |
BGF Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,83 |
1,32 |
2,03 |
- |
- |
2,10 |
31/mrt/2026 |
1,32 |
1,34 |
3,46 |
- |
- |
31/mrt/2026 |
-0,83 |
-0,65 |
6,22 |
- |
- |
7,50 |
31/mrt/2026 |
- |
- |
5,31 |
1,24 |
1,78 |
31/dec/2025 |
06/okt/2022 |
5.391,68 |
10,78 |
- |
84,60 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2474806416 |
BGF Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,72 |
1,94 |
2,75 |
- |
- |
2,83 |
31/mrt/2026 |
1,94 |
2,08 |
4,23 |
- |
- |
31/mrt/2026 |
-0,72 |
-0,36 |
8,47 |
- |
- |
10,20 |
31/mrt/2026 |
- |
- |
6,09 |
1,98 |
2,49 |
31/dec/2025 |
06/okt/2022 |
5.532,92 |
11,07 |
- |
84,60 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2474806259 |
BGF Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,72 |
1,76 |
2,59 |
- |
- |
2,67 |
31/mrt/2026 |
1,76 |
1,89 |
4,14 |
- |
- |
31/mrt/2026 |
-0,72 |
-0,45 |
7,98 |
- |
- |
9,60 |
31/mrt/2026 |
- |
- |
6,00 |
1,70 |
2,41 |
31/dec/2025 |
06/okt/2022 |
5.498,03 |
11,00 |
- |
84,60 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2474805871 |
BGF Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,82 |
1,68 |
2,50 |
- |
- |
2,56 |
31/mrt/2026 |
1,68 |
1,80 |
4,04 |
- |
- |
31/mrt/2026 |
-0,82 |
-0,46 |
7,69 |
- |
- |
9,20 |
31/mrt/2026 |
- |
- |
5,80 |
1,70 |
2,32 |
31/dec/2025 |
06/okt/2022 |
5.480,34 |
10,96 |
- |
84,60 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2518861054 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,53 |
4,64 |
7,41 |
- |
- |
6,88 |
31/mrt/2026 |
4,64 |
7,77 |
9,89 |
- |
- |
31/mrt/2026 |
-1,53 |
-0,53 |
23,92 |
- |
- |
26,74 |
31/mrt/2026 |
- |
- |
7,22 |
8,30 |
8,79 |
31/dec/2025 |
07/sep/2022 |
7.620.847,32 |
10,41 |
- |
851,79 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2519803816 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-5,93 |
10,50 |
7,28 |
- |
- |
8,19 |
31/mrt/2026 |
10,50 |
-0,75 |
12,57 |
- |
- |
31/mrt/2026 |
-5,93 |
-2,88 |
23,45 |
- |
- |
31,60 |
31/mrt/2026 |
- |
- |
11,85 |
7,44 |
14,02 |
31/dec/2025 |
04/okt/2022 |
7.242,60 |
14,04 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2511299245 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,96 |
8,58 |
8,05 |
- |
- |
8,69 |
31/mrt/2026 |
8,58 |
4,22 |
11,48 |
- |
- |
31/mrt/2026 |
-0,96 |
0,52 |
26,15 |
- |
- |
34,10 |
31/mrt/2026 |
- |
- |
9,47 |
8,91 |
9,72 |
31/dec/2025 |
22/sep/2022 |
6.984,35 |
13,86 |
- |
747,51 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2521848726 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,20 |
11,86 |
10,86 |
- |
- |
11,80 |
31/mrt/2026 |
11,86 |
6,60 |
14,26 |
- |
- |
31/mrt/2026 |
-0,20 |
1,93 |
36,25 |
- |
- |
48,10 |
31/mrt/2026 |
- |
- |
12,79 |
11,25 |
12,85 |
31/dec/2025 |
22/sep/2022 |
7.667,03 |
15,33 |
- |
747,51 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2511310828 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,34 |
11,31 |
10,36 |
- |
- |
11,28 |
31/mrt/2026 |
11,31 |
6,16 |
13,75 |
- |
- |
31/mrt/2026 |
-0,34 |
1,67 |
34,41 |
- |
- |
45,70 |
31/mrt/2026 |
- |
- |
12,23 |
10,72 |
12,38 |
31/dec/2025 |
22/sep/2022 |
22.531,33 |
15,08 |
- |
747,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2525720822 |
BlackRock ESG Euro Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,10 |
2,05 |
4,33 |
- |
- |
3,87 |
31/mrt/2026 |
2,05 |
3,92 |
7,09 |
- |
- |
31/mrt/2026 |
-1,10 |
-0,80 |
13,58 |
- |
- |
14,39 |
31/mrt/2026 |
- |
- |
8,65 |
4,53 |
3,11 |
31/dec/2025 |
14/sep/2022 |
- |
115,40 |
- |
258,93 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2525720749 |
BlackRock ESG Euro Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,94 |
1,58 |
2,83 |
- |
- |
2,01 |
31/mrt/2026 |
1,58 |
1,97 |
4,98 |
- |
- |
31/mrt/2026 |
-0,94 |
-0,65 |
8,73 |
- |
- |
7,30 |
31/mrt/2026 |
- |
- |
7,67 |
2,44 |
1,80 |
31/dec/2025 |
14/sep/2022 |
- |
107,74 |
- |
666,80 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2525721044 |
BlackRock Euro Short Duration Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,89 |
1,61 |
3,19 |
- |
- |
2,81 |
31/mrt/2026 |
1,61 |
4,15 |
3,83 |
- |
- |
31/mrt/2026 |
-0,89 |
-0,30 |
9,89 |
- |
- |
10,34 |
31/mrt/2026 |
- |
- |
4,63 |
3,56 |
3,37 |
31/dec/2025 |
14/sep/2022 |
- |
111,08 |
- |
119,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533724782 |
BGF Sustainable Energy Fund |
BlackRock (Luxembourg) S.A. |
6,80 |
55,74 |
9,60 |
- |
- |
16,11 |
31/mrt/2026 |
55,74 |
-14,49 |
-1,16 |
- |
- |
31/mrt/2026 |
6,80 |
14,49 |
31,64 |
- |
- |
67,35 |
31/mrt/2026 |
- |
- |
12,80 |
-9,02 |
33,27 |
31/dec/2025 |
19/okt/2022 |
8.637.391,06 |
14,31 |
- |
5.086,07 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533724600 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
36,51 |
39,05 |
17,69 |
- |
- |
15,89 |
31/mrt/2026 |
39,05 |
-0,45 |
17,76 |
- |
- |
31/mrt/2026 |
36,51 |
38,15 |
63,01 |
- |
- |
66,27 |
31/mrt/2026 |
- |
- |
3,70 |
1,93 |
8,95 |
31/dec/2025 |
19/okt/2022 |
17.893.928,69 |
12,37 |
- |
2.691,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533724436 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
2,07 |
102,58 |
41,65 |
- |
- |
49,88 |
31/mrt/2026 |
102,58 |
46,57 |
-4,27 |
- |
- |
31/mrt/2026 |
2,07 |
22,47 |
184,23 |
- |
- |
303,46 |
31/mrt/2026 |
- |
- |
6,48 |
13,60 |
159,34 |
31/dec/2025 |
19/okt/2022 |
167.225.337,60 |
29,44 |
- |
11.254,06 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533724519 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-13,06 |
25,26 |
29,01 |
- |
- |
26,56 |
31/mrt/2026 |
25,26 |
17,35 |
46,09 |
- |
- |
31/mrt/2026 |
-13,06 |
-5,05 |
114,74 |
- |
- |
125,25 |
31/mrt/2026 |
- |
- |
27,83 |
30,84 |
43,97 |
31/dec/2025 |
19/okt/2022 |
83.536.014,18 |
18,18 |
- |
2.562,70 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2533726050 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,37 |
2,13 |
4,08 |
- |
- |
4,11 |
31/mrt/2026 |
2,13 |
4,74 |
5,39 |
- |
- |
31/mrt/2026 |
-1,37 |
-0,69 |
12,75 |
- |
- |
15,00 |
31/mrt/2026 |
- |
- |
5,12 |
4,03 |
5,05 |
31/dec/2025 |
12/okt/2022 |
6.009,11 |
11,66 |
- |
316,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533725755 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-0,94 |
4,98 |
6,54 |
- |
- |
7,06 |
31/mrt/2026 |
4,98 |
6,07 |
8,60 |
- |
- |
31/mrt/2026 |
-0,94 |
0,40 |
20,94 |
- |
- |
26,50 |
31/mrt/2026 |
- |
- |
8,79 |
5,33 |
7,67 |
31/dec/2025 |
19/okt/2022 |
6.402,39 |
12,80 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533726647 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,53 |
8,36 |
9,59 |
- |
- |
11,64 |
31/mrt/2026 |
8,36 |
6,71 |
13,84 |
- |
- |
31/mrt/2026 |
-2,53 |
0,96 |
31,63 |
- |
- |
46,50 |
31/mrt/2026 |
- |
- |
12,61 |
7,63 |
13,35 |
31/dec/2025 |
12/okt/2022 |
14.234,89 |
15,10 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533726563 |
BGF ESG Emerging Markets Local Currency Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,50 |
13,41 |
7,57 |
- |
- |
11,97 |
31/mrt/2026 |
13,41 |
2,59 |
6,98 |
- |
- |
31/mrt/2026 |
-2,50 |
0,95 |
24,47 |
- |
- |
48,00 |
31/mrt/2026 |
- |
- |
17,49 |
-5,19 |
22,22 |
31/dec/2025 |
12/okt/2022 |
7.634,00 |
15,27 |
- |
652,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533726480 |
BGF Emerging Markets Corporate Bond Advanced Fund |
BlackRock (Luxembourg) S.A. |
-1,76 |
4,70 |
7,51 |
- |
- |
8,74 |
31/mrt/2026 |
4,70 |
8,04 |
9,85 |
- |
- |
31/mrt/2026 |
-1,76 |
-0,59 |
24,26 |
- |
- |
33,70 |
31/mrt/2026 |
- |
- |
7,26 |
8,07 |
9,23 |
31/dec/2025 |
12/okt/2022 |
6.831,52 |
13,66 |
- |
27,47 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533726308 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,32 |
11,31 |
9,15 |
- |
- |
11,89 |
31/mrt/2026 |
11,31 |
5,74 |
10,48 |
- |
- |
31/mrt/2026 |
-2,32 |
1,37 |
30,04 |
- |
- |
47,60 |
31/mrt/2026 |
- |
- |
13,92 |
2,88 |
17,31 |
31/dec/2025 |
12/okt/2022 |
7.581,57 |
15,16 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533726134 |
BGF Emerging Markets Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,29 |
4,77 |
6,40 |
- |
- |
7,77 |
31/mrt/2026 |
4,77 |
6,45 |
7,99 |
- |
- |
31/mrt/2026 |
-1,29 |
-0,08 |
20,45 |
- |
- |
29,60 |
31/mrt/2026 |
- |
- |
8,60 |
5,57 |
8,24 |
31/dec/2025 |
12/okt/2022 |
6.583,16 |
13,17 |
- |
84,61 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533725912 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,88 |
4,40 |
6,04 |
- |
- |
6,23 |
31/mrt/2026 |
4,40 |
6,40 |
7,35 |
- |
- |
31/mrt/2026 |
-0,88 |
0,33 |
19,25 |
- |
- |
23,30 |
31/mrt/2026 |
- |
- |
7,44 |
5,56 |
7,33 |
31/dec/2025 |
12/okt/2022 |
6.257,04 |
12,51 |
- |
316,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533727025 |
BGF Future of Transport Fund |
BlackRock (Luxembourg) S.A. |
2,45 |
28,42 |
1,19 |
- |
- |
5,95 |
31/mrt/2026 |
28,42 |
-12,90 |
-7,36 |
- |
- |
31/mrt/2026 |
2,45 |
3,79 |
3,62 |
- |
- |
21,93 |
31/mrt/2026 |
- |
- |
9,79 |
-12,55 |
20,42 |
31/dec/2025 |
26/okt/2022 |
857.988,93 |
10,53 |
- |
638,83 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533723545 |
BGF US Basic Value Fund |
BlackRock (Luxembourg) S.A. |
-3,26 |
13,47 |
11,71 |
- |
- |
11,26 |
31/mrt/2026 |
13,47 |
2,76 |
19,58 |
- |
- |
31/mrt/2026 |
-3,26 |
2,20 |
39,42 |
- |
- |
44,14 |
31/mrt/2026 |
- |
- |
11,08 |
7,53 |
20,60 |
31/dec/2025 |
26/okt/2022 |
1.421.563,98 |
11,85 |
- |
930,31 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533723628 |
BGF Global Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-4,40 |
13,75 |
9,18 |
- |
- |
11,86 |
31/mrt/2026 |
13,75 |
0,92 |
13,36 |
- |
- |
31/mrt/2026 |
-4,40 |
-1,63 |
30,14 |
- |
- |
46,84 |
31/mrt/2026 |
- |
- |
15,34 |
7,88 |
16,40 |
31/dec/2025 |
26/okt/2022 |
2.034.028,91 |
11,98 |
- |
1.080,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533724949 |
BGF Next Generation Technology Fund |
BlackRock (Luxembourg) S.A. |
-2,64 |
50,14 |
20,26 |
- |
- |
19,79 |
31/mrt/2026 |
50,14 |
-9,79 |
28,42 |
- |
- |
31/mrt/2026 |
-2,64 |
2,64 |
73,94 |
- |
- |
85,68 |
31/mrt/2026 |
- |
- |
32,60 |
22,93 |
23,62 |
31/dec/2025 |
26/okt/2022 |
2.370.216,23 |
17,93 |
- |
2.823,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533724352 |
BGF World Healthscience Fund |
BlackRock (Luxembourg) S.A. |
-5,13 |
3,04 |
4,38 |
- |
- |
4,68 |
31/mrt/2026 |
3,04 |
-2,10 |
12,73 |
- |
- |
31/mrt/2026 |
-5,13 |
5,50 |
13,72 |
- |
- |
16,99 |
31/mrt/2026 |
- |
- |
2,18 |
1,86 |
13,06 |
31/dec/2025 |
26/okt/2022 |
22.796.985,49 |
9,10 |
- |
12.297,89 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533723891 |
BGF China Fund |
BlackRock (Luxembourg) S.A. |
-6,67 |
2,21 |
3,86 |
- |
- |
11,18 |
31/mrt/2026 |
2,21 |
30,58 |
-16,06 |
- |
- |
31/mrt/2026 |
-6,67 |
-13,53 |
12,02 |
- |
- |
43,79 |
31/mrt/2026 |
- |
- |
-12,20 |
15,73 |
23,39 |
31/dec/2025 |
26/okt/2022 |
10.369.615,30 |
11,77 |
- |
1.113,27 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533724196 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
-0,36 |
6,57 |
5,99 |
- |
- |
6,42 |
31/mrt/2026 |
6,57 |
2,09 |
9,45 |
- |
- |
31/mrt/2026 |
-0,36 |
-0,66 |
19,08 |
- |
- |
23,76 |
31/mrt/2026 |
- |
- |
11,92 |
-0,94 |
7,48 |
31/dec/2025 |
26/okt/2022 |
353.936,10 |
10,36 |
- |
199,52 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533725169 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,39 |
5,75 |
6,44 |
- |
- |
7,57 |
31/mrt/2026 |
5,75 |
7,79 |
5,81 |
- |
- |
31/mrt/2026 |
-0,39 |
0,94 |
20,60 |
- |
- |
28,80 |
31/mrt/2026 |
- |
- |
6,62 |
6,47 |
9,21 |
31/dec/2025 |
12/okt/2022 |
6.486,57 |
12,97 |
- |
121,92 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533723974 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
-9,08 |
27,16 |
21,40 |
- |
- |
22,92 |
31/mrt/2026 |
27,16 |
-1,74 |
43,18 |
- |
- |
31/mrt/2026 |
-9,08 |
-9,18 |
78,90 |
- |
- |
102,87 |
31/mrt/2026 |
- |
- |
49,72 |
32,51 |
17,99 |
31/dec/2025 |
26/okt/2022 |
680.919.773,01 |
18,90 |
- |
16.289,74 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2533724865 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
0,46 |
3,48 |
5,42 |
- |
- |
5,19 |
31/mrt/2026 |
3,48 |
5,97 |
6,85 |
- |
- |
31/mrt/2026 |
0,46 |
1,14 |
17,16 |
- |
- |
19,06 |
31/mrt/2026 |
- |
- |
5,71 |
7,96 |
3,48 |
31/dec/2025 |
19/okt/2022 |
5.003,09 |
10,01 |
- |
304,18 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2533724279 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
8,24 |
74,79 |
16,75 |
- |
- |
20,02 |
31/mrt/2026 |
74,79 |
-2,07 |
-7,05 |
- |
- |
31/mrt/2026 |
8,24 |
26,00 |
59,12 |
- |
- |
86,91 |
31/mrt/2026 |
- |
- |
-0,43 |
-11,03 |
70,42 |
31/dec/2025 |
26/okt/2022 |
13.844.439,71 |
14,92 |
- |
7.469,06 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2533725672 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,43 |
2,62 |
4,45 |
- |
- |
4,79 |
31/mrt/2026 |
2,62 |
4,28 |
6,50 |
- |
- |
31/mrt/2026 |
-1,43 |
-0,68 |
13,97 |
- |
- |
17,50 |
31/mrt/2026 |
- |
- |
6,32 |
3,48 |
5,39 |
31/dec/2025 |
19/okt/2022 |
6.051,12 |
11,88 |
- |
195,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2533726993 |
BGF Asia Pacific Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,39 |
5,91 |
6,47 |
- |
- |
7,61 |
31/mrt/2026 |
5,91 |
7,62 |
5,89 |
- |
- |
31/mrt/2026 |
-0,39 |
1,06 |
20,70 |
- |
- |
28,96 |
31/mrt/2026 |
- |
- |
6,64 |
6,58 |
9,24 |
31/dec/2025 |
12/okt/2022 |
5.385,69 |
10,77 |
- |
121,92 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2533725086 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,13 |
0,94 |
3,01 |
- |
- |
2,82 |
31/mrt/2026 |
0,94 |
3,73 |
4,41 |
- |
- |
31/mrt/2026 |
-0,13 |
-0,03 |
9,32 |
- |
- |
10,05 |
31/mrt/2026 |
- |
- |
3,45 |
5,29 |
1,30 |
31/dec/2025 |
19/okt/2022 |
39.866,48 |
110,33 |
- |
304,18 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000TAUFM09 |
BIPF BLK Global Allocation Tailored Fund |
BlackRock Asset Management Ireland Limited |
-5,01 |
11,68 |
- |
- |
- |
7,93 |
31/mrt/2026 |
11,68 |
-0,26 |
- |
- |
- |
31/mrt/2026 |
-5,01 |
-2,25 |
- |
- |
- |
23,82 |
31/mrt/2026 |
- |
- |
- |
7,83 |
14,62 |
31/dec/2025 |
12/jun/2023 |
25.949.623,83 |
132,29 |
132,29 |
254,77 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000OZVH6G1 |
BIPF BLK Global Allocation Tailored Fund |
BlackRock Asset Management Ireland Limited |
-3,18 |
4,70 |
- |
- |
- |
5,28 |
31/mrt/2026 |
4,70 |
-0,28 |
- |
- |
- |
31/mrt/2026 |
-3,18 |
-0,32 |
- |
- |
- |
15,49 |
31/mrt/2026 |
- |
- |
- |
14,75 |
1,31 |
31/dec/2025 |
12/jun/2023 |
126.627.985,53 |
121,20 |
121,20 |
254,77 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000IEJQ1Y3 |
BIPF BLK Global Allocation Tailored Fund |
BlackRock Asset Management Ireland Limited |
-5,60 |
8,64 |
- |
- |
- |
5,62 |
31/mrt/2026 |
8,64 |
-1,90 |
- |
- |
- |
31/mrt/2026 |
-5,60 |
-3,45 |
- |
- |
- |
16,55 |
31/mrt/2026 |
- |
- |
- |
6,05 |
11,82 |
31/dec/2025 |
12/jun/2023 |
16.392.632,23 |
124,29 |
124,29 |
254,77 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2550100858 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
0,17 |
2,60 |
4,56 |
- |
- |
4,63 |
31/mrt/2026 |
2,60 |
5,04 |
6,05 |
- |
- |
31/mrt/2026 |
0,17 |
0,65 |
14,30 |
- |
- |
16,38 |
31/mrt/2026 |
- |
- |
4,94 |
7,02 |
2,72 |
31/dec/2025 |
23/nov/2022 |
105.529,08 |
9,81 |
- |
304,18 |
29/apr/2026 |
Distributie |
| - |
EUR |
IE000UWLOAU6 |
BIPF BLK Global Allocation Tailored Fund |
BlackRock Asset Management Ireland Limited |
-3,18 |
4,70 |
- |
- |
- |
5,28 |
31/mrt/2026 |
4,70 |
-0,28 |
- |
- |
- |
31/mrt/2026 |
-3,18 |
-0,32 |
- |
- |
- |
15,49 |
31/mrt/2026 |
- |
- |
- |
14,75 |
1,31 |
31/dec/2025 |
12/jun/2023 |
34.623.048,88 |
121,60 |
121,60 |
254,77 |
30/apr/2026 |
Kapitalisatie |
| - |
CZK |
IE000H76WB44 |
BIPF BLK Global Allocation Tailored Fund |
BlackRock Asset Management Ireland Limited |
-5,26 |
9,93 |
- |
- |
- |
4,48 |
31/mrt/2026 |
9,93 |
-1,01 |
- |
- |
- |
31/mrt/2026 |
-5,26 |
-2,80 |
- |
- |
- |
9,46 |
31/mrt/2026 |
- |
- |
- |
- |
13,01 |
31/dec/2025 |
08/mrt/2024 |
136.329,70 |
1.172,22 |
1.172,22 |
254,77 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2550100775 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,20 |
0,64 |
3,16 |
- |
- |
3,25 |
31/mrt/2026 |
0,64 |
4,05 |
4,83 |
- |
- |
31/mrt/2026 |
-0,20 |
0,09 |
9,78 |
- |
- |
11,33 |
31/mrt/2026 |
- |
- |
3,60 |
5,86 |
1,00 |
31/dec/2025 |
23/nov/2022 |
1.609.171,90 |
97,35 |
- |
304,18 |
29/apr/2026 |
Distributie |
| - |
USD |
IE0007YMRGH4 |
BIPF BLK Global Allocation Tailored Fund |
BlackRock Asset Management Ireland Limited |
-5,01 |
11,68 |
- |
- |
- |
7,93 |
31/mrt/2026 |
11,68 |
-0,26 |
- |
- |
- |
31/mrt/2026 |
-5,01 |
-2,25 |
- |
- |
- |
23,82 |
31/mrt/2026 |
- |
- |
- |
7,83 |
14,62 |
31/dec/2025 |
12/jun/2023 |
20.427.389,68 |
132,72 |
132,72 |
254,77 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2550100429 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,29 |
3,82 |
4,74 |
- |
- |
5,21 |
31/mrt/2026 |
3,82 |
5,96 |
4,46 |
- |
- |
31/mrt/2026 |
0,29 |
0,51 |
14,91 |
- |
- |
18,56 |
31/mrt/2026 |
- |
- |
3,06 |
7,80 |
4,37 |
31/dec/2025 |
23/nov/2022 |
4.189.724,56 |
99,80 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2465781925 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-1,15 |
3,39 |
4,07 |
- |
- |
3,63 |
31/mrt/2026 |
3,39 |
4,13 |
4,71 |
- |
- |
31/mrt/2026 |
-1,15 |
-0,18 |
12,73 |
- |
- |
11,80 |
31/mrt/2026 |
- |
- |
- |
4,45 |
5,58 |
31/dec/2025 |
15/feb/2023 |
- |
105,71 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2465782063 |
BlackRock ESG Fixed Income Strategies Fund |
BlackRock (Luxembourg) S.A. |
-0,70 |
5,69 |
6,07 |
- |
- |
5,64 |
31/mrt/2026 |
5,69 |
5,79 |
6,71 |
- |
- |
31/mrt/2026 |
-0,70 |
0,82 |
19,32 |
- |
- |
18,69 |
31/mrt/2026 |
- |
- |
- |
6,10 |
7,88 |
31/dec/2025 |
15/feb/2023 |
- |
112,26 |
- |
2.722,61 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2550100692 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,68 |
5,77 |
6,16 |
- |
- |
6,60 |
31/mrt/2026 |
5,77 |
7,15 |
5,56 |
- |
- |
31/mrt/2026 |
0,68 |
1,09 |
19,63 |
- |
- |
23,91 |
31/mrt/2026 |
- |
- |
4,30 |
9,07 |
6,13 |
31/dec/2025 |
23/nov/2022 |
845.239,18 |
10,06 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
EUR |
LU2556666902 |
BGF Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,04 |
0,67 |
1,54 |
- |
- |
1,48 |
31/mrt/2026 |
0,67 |
0,87 |
3,10 |
- |
- |
31/mrt/2026 |
-1,04 |
-0,95 |
4,70 |
- |
- |
4,70 |
31/mrt/2026 |
- |
- |
- |
0,68 |
1,34 |
31/dec/2025 |
15/feb/2023 |
988.078,01 |
10,50 |
- |
84,60 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2556665847 |
BGF European Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-1,85 |
12,35 |
8,66 |
- |
- |
9,38 |
31/mrt/2026 |
12,35 |
-1,25 |
15,65 |
- |
- |
31/mrt/2026 |
-1,85 |
2,71 |
28,31 |
- |
- |
32,80 |
31/mrt/2026 |
- |
- |
- |
9,64 |
13,22 |
31/dec/2025 |
01/feb/2023 |
6.533,33 |
14,17 |
- |
7,82 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2556665763 |
BGF European Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,53 |
19,80 |
10,75 |
- |
- |
11,34 |
31/mrt/2026 |
19,80 |
-1,16 |
14,73 |
- |
- |
31/mrt/2026 |
-3,53 |
0,92 |
35,85 |
- |
- |
40,46 |
31/mrt/2026 |
- |
- |
- |
2,73 |
27,98 |
31/dec/2025 |
01/feb/2023 |
7.597,20 |
16,56 |
- |
7,82 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2556665680 |
BGF Emerging Markets Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
1,04 |
26,85 |
10,63 |
- |
- |
7,92 |
31/mrt/2026 |
26,85 |
3,72 |
2,90 |
- |
- |
31/mrt/2026 |
1,04 |
8,26 |
35,38 |
- |
- |
27,26 |
31/mrt/2026 |
- |
- |
- |
8,67 |
21,20 |
31/dec/2025 |
01/feb/2023 |
6.838,40 |
13,60 |
- |
326,96 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2556665508 |
BGF Emerging Markets Sustainable Equity Fund |
BlackRock (Luxembourg) S.A. |
-0,66 |
35,18 |
12,72 |
- |
- |
9,82 |
31/mrt/2026 |
35,18 |
3,86 |
2,02 |
- |
- |
31/mrt/2026 |
-0,66 |
6,32 |
43,24 |
- |
- |
34,50 |
31/mrt/2026 |
- |
- |
- |
1,85 |
36,91 |
31/dec/2025 |
01/feb/2023 |
7.948,21 |
15,90 |
- |
326,96 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2556666811 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-1,22 |
7,25 |
6,72 |
- |
- |
6,37 |
31/mrt/2026 |
7,25 |
2,91 |
10,12 |
- |
- |
31/mrt/2026 |
-1,22 |
-0,08 |
21,54 |
- |
- |
21,30 |
31/mrt/2026 |
- |
- |
- |
7,50 |
8,38 |
31/dec/2025 |
15/feb/2023 |
8.980,06 |
12,52 |
- |
747,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2556666654 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,47 |
-0,19 |
2,09 |
- |
- |
1,98 |
31/mrt/2026 |
-0,19 |
2,90 |
3,61 |
- |
- |
31/mrt/2026 |
-0,47 |
-0,56 |
6,41 |
- |
- |
6,20 |
31/mrt/2026 |
- |
- |
- |
4,82 |
0,09 |
31/dec/2025 |
08/mrt/2023 |
5.020,54 |
10,64 |
- |
304,18 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2556666738 |
BGF China Onshore Bond Fund |
BlackRock (Luxembourg) S.A. |
2,98 |
-1,62 |
-0,34 |
- |
- |
-1,02 |
31/mrt/2026 |
-1,62 |
2,28 |
-1,63 |
- |
- |
31/mrt/2026 |
2,98 |
4,53 |
-1,02 |
- |
- |
-3,10 |
31/mrt/2026 |
- |
- |
- |
7,84 |
-7,56 |
31/dec/2025 |
08/mrt/2023 |
4.553,79 |
9,65 |
- |
304,18 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2560989894 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,33 |
11,25 |
10,35 |
- |
- |
10,55 |
31/mrt/2026 |
11,25 |
6,21 |
13,72 |
- |
- |
31/mrt/2026 |
-0,33 |
1,65 |
34,37 |
- |
- |
38,39 |
31/mrt/2026 |
- |
- |
- |
10,71 |
12,37 |
31/dec/2025 |
04/jan/2023 |
451.673.447,82 |
11,45 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2489682497 |
BlackRock Future Generations Private Equity Opportunities ELTIF |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
07/jul/2023 |
- |
- |
- |
- |
- |
- |
| - |
EUR |
LU2489682067 |
BlackRock Future Generations Private Equity Opportunities ELTIF |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
07/jul/2023 |
- |
- |
- |
- |
- |
- |
| |
EUR |
LU2489682653 |
BlackRock Future Generations Private Equity Opportunities ELTIF |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
07/jul/2023 |
- |
- |
- |
- |
- |
Kapitalisatie |
| - |
EUR |
LU2489682570 |
BlackRock Future Generations Private Equity Opportunities ELTIF |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
07/jul/2023 |
- |
- |
- |
- |
- |
- |
| - |
EUR |
LU2489681929 |
BlackRock Future Generations Private Equity Opportunities ELTIF |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
07/jul/2023 |
- |
- |
- |
- |
- |
- |
| - |
EUR |
LU2489682141 |
BlackRock Future Generations Private Equity Opportunities ELTIF |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
07/jul/2023 |
- |
- |
- |
- |
- |
- |
| - |
USD |
LU2589087670 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-3,83 |
15,05 |
12,49 |
- |
- |
12,87 |
31/mrt/2026 |
15,05 |
9,33 |
13,16 |
- |
- |
31/mrt/2026 |
-3,83 |
1,59 |
42,34 |
- |
- |
44,85 |
31/mrt/2026 |
- |
- |
- |
2,11 |
32,87 |
31/dec/2025 |
08/mrt/2023 |
27.547.340,18 |
13,37 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2589087597 |
BGF European Equity Income Fund |
BlackRock (Luxembourg) S.A. |
-3,76 |
10,20 |
11,32 |
- |
- |
11,02 |
31/mrt/2026 |
10,20 |
8,92 |
14,93 |
- |
- |
31/mrt/2026 |
-3,76 |
1,40 |
37,95 |
- |
- |
37,73 |
31/mrt/2026 |
- |
- |
- |
5,43 |
25,45 |
31/dec/2025 |
08/mrt/2023 |
57.359.780,35 |
17,06 |
- |
1.646,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE0000Y3HYQ6 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,44 |
2,44 |
- |
- |
- |
4,10 |
31/mrt/2026 |
2,44 |
4,49 |
- |
- |
- |
31/mrt/2026 |
0,44 |
0,94 |
- |
- |
- |
12,31 |
31/mrt/2026 |
- |
- |
- |
3,90 |
2,84 |
31/dec/2025 |
09/mei/2023 |
4.479.717,93 |
10,74 |
10,74 |
207,52 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000SX40WY4 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,29 |
1,82 |
- |
- |
- |
3,51 |
31/mrt/2026 |
1,82 |
3,86 |
- |
- |
- |
31/mrt/2026 |
0,29 |
0,64 |
- |
- |
- |
10,47 |
31/mrt/2026 |
- |
- |
- |
3,28 |
2,23 |
31/dec/2025 |
09/mei/2023 |
105.845.124,98 |
11,07 |
11,07 |
207,52 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000MZ6WJH0 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,44 |
2,43 |
- |
- |
- |
4,09 |
31/mrt/2026 |
2,43 |
4,49 |
- |
- |
- |
31/mrt/2026 |
0,44 |
0,94 |
- |
- |
- |
12,31 |
31/mrt/2026 |
- |
- |
- |
3,90 |
2,84 |
31/dec/2025 |
09/mei/2023 |
11.041.999,07 |
11,25 |
11,25 |
207,52 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000L1IQ9A9 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,35 |
2,08 |
- |
- |
- |
3,73 |
31/mrt/2026 |
2,08 |
4,13 |
- |
- |
- |
31/mrt/2026 |
0,35 |
0,77 |
- |
- |
- |
11,18 |
31/mrt/2026 |
- |
- |
- |
3,54 |
2,49 |
31/dec/2025 |
09/mei/2023 |
870.502,59 |
11,14 |
11,14 |
207,52 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE0000FDB7J4 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,29 |
1,82 |
- |
- |
- |
3,50 |
31/mrt/2026 |
1,82 |
3,86 |
- |
- |
- |
31/mrt/2026 |
0,29 |
0,64 |
- |
- |
- |
10,47 |
31/mrt/2026 |
- |
- |
- |
3,28 |
2,23 |
31/dec/2025 |
09/mei/2023 |
74.099.309,53 |
10,73 |
10,73 |
207,52 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE00022PGAZ6 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,35 |
2,08 |
- |
- |
- |
3,75 |
31/mrt/2026 |
2,08 |
4,13 |
- |
- |
- |
31/mrt/2026 |
0,35 |
0,77 |
- |
- |
- |
11,23 |
31/mrt/2026 |
- |
- |
- |
3,54 |
2,49 |
31/dec/2025 |
09/mei/2023 |
6.808.179,79 |
10,73 |
10,73 |
207,52 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2597099972 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,54 |
-5,71 |
- |
- |
- |
-1,57 |
31/mrt/2026 |
-5,71 |
-9,86 |
- |
- |
- |
31/mrt/2026 |
-6,54 |
-9,72 |
- |
- |
- |
-4,61 |
31/mrt/2026 |
- |
- |
- |
-0,87 |
-2,48 |
31/dec/2025 |
05/apr/2023 |
29.803,78 |
86,80 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2597099626 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,33 |
-4,57 |
- |
- |
- |
-0,04 |
31/mrt/2026 |
-4,57 |
-8,39 |
- |
- |
- |
31/mrt/2026 |
-6,33 |
-9,12 |
- |
- |
- |
-0,12 |
31/mrt/2026 |
- |
- |
- |
0,87 |
-1,22 |
31/dec/2025 |
05/apr/2023 |
35.657,19 |
90,85 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2600819937 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
3,49 |
35,69 |
- |
- |
- |
11,68 |
31/mrt/2026 |
35,69 |
-9,04 |
- |
- |
- |
31/mrt/2026 |
3,49 |
11,34 |
- |
- |
- |
36,50 |
31/mrt/2026 |
- |
- |
- |
-7,01 |
32,56 |
31/dec/2025 |
06/jun/2023 |
294.551,73 |
14,55 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2597095632 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,96 |
-2,63 |
- |
- |
- |
1,36 |
31/mrt/2026 |
-2,63 |
-7,39 |
- |
- |
- |
31/mrt/2026 |
-5,96 |
-8,50 |
- |
- |
- |
4,12 |
31/mrt/2026 |
- |
- |
- |
2,09 |
0,52 |
31/dec/2025 |
05/apr/2023 |
4.667,64 |
9,34 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2597099899 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-6,06 |
-4,03 |
- |
- |
- |
-0,31 |
31/mrt/2026 |
-4,03 |
-8,86 |
- |
- |
- |
31/mrt/2026 |
-6,06 |
-8,72 |
- |
- |
- |
-0,93 |
31/mrt/2026 |
- |
- |
- |
0,45 |
-1,06 |
31/dec/2025 |
05/apr/2023 |
6.674,13 |
8,94 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2555204317 |
BGF China Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-4,22 |
4,70 |
- |
- |
- |
5,55 |
31/mrt/2026 |
4,70 |
20,09 |
- |
- |
- |
31/mrt/2026 |
-4,22 |
-5,70 |
- |
- |
- |
15,80 |
31/mrt/2026 |
- |
- |
- |
13,77 |
15,25 |
31/dec/2025 |
13/jul/2023 |
5.991,45 |
11,98 |
- |
25,14 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2575169037 |
BSF Health Sciences Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,27 |
3,71 |
- |
- |
- |
4,43 |
31/mrt/2026 |
3,71 |
2,36 |
- |
- |
- |
31/mrt/2026 |
-2,27 |
0,78 |
- |
- |
- |
12,24 |
31/mrt/2026 |
- |
- |
- |
4,65 |
7,64 |
31/dec/2025 |
03/aug/2023 |
- |
112,37 |
- |
22,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2575168906 |
BSF Health Sciences Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,25 |
-0,94 |
- |
- |
- |
3,80 |
31/mrt/2026 |
-0,94 |
3,50 |
- |
- |
- |
31/mrt/2026 |
-0,25 |
3,37 |
- |
- |
- |
10,43 |
31/mrt/2026 |
- |
- |
- |
12,88 |
-2,97 |
31/dec/2025 |
03/aug/2023 |
- |
109,18 |
- |
22,97 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2555204663 |
BGF China Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-4,56 |
2,69 |
- |
- |
- |
4,17 |
31/mrt/2026 |
2,69 |
18,96 |
- |
- |
- |
31/mrt/2026 |
-4,56 |
-6,26 |
- |
- |
- |
11,72 |
31/mrt/2026 |
- |
- |
- |
12,35 |
13,38 |
31/dec/2025 |
13/jul/2023 |
38.710,30 |
98,90 |
- |
25,14 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2555204580 |
BGF China Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-4,21 |
4,66 |
- |
- |
- |
5,58 |
31/mrt/2026 |
4,66 |
20,23 |
- |
- |
- |
31/mrt/2026 |
-4,21 |
-5,73 |
- |
- |
- |
15,87 |
31/mrt/2026 |
- |
- |
- |
13,67 |
15,35 |
31/dec/2025 |
13/jul/2023 |
5.056,64 |
10,11 |
- |
25,14 |
29/apr/2026 |
Distributie |
| - |
CNH |
LU2555204747 |
BGF China Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-4,75 |
1,64 |
- |
- |
- |
2,57 |
31/mrt/2026 |
1,64 |
16,78 |
- |
- |
- |
31/mrt/2026 |
-4,75 |
-6,87 |
- |
- |
- |
7,12 |
31/mrt/2026 |
- |
- |
- |
10,13 |
12,01 |
31/dec/2025 |
13/jul/2023 |
34.270,86 |
94,73 |
- |
25,14 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2604840798 |
BGF Systematic China Environmental Tech Fund |
BlackRock (Luxembourg) S.A. |
3,28 |
23,77 |
- |
- |
- |
8,63 |
31/mrt/2026 |
23,77 |
25,22 |
- |
- |
- |
31/mrt/2026 |
3,28 |
-6,80 |
- |
- |
- |
26,00 |
31/mrt/2026 |
- |
- |
- |
9,02 |
27,75 |
31/dec/2025 |
15/jun/2023 |
6.602,01 |
13,20 |
- |
23,24 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2608636572 |
BGF Systematic China Environmental Tech Fund |
BlackRock (Luxembourg) S.A. |
2,99 |
21,55 |
- |
- |
- |
6,97 |
31/mrt/2026 |
21,55 |
23,51 |
- |
- |
- |
31/mrt/2026 |
2,99 |
-7,44 |
- |
- |
- |
20,70 |
31/mrt/2026 |
- |
- |
- |
7,83 |
25,08 |
31/dec/2025 |
15/jun/2023 |
7.367,25 |
12,64 |
- |
23,24 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2608636499 |
BGF Systematic China Environmental Tech Fund |
BlackRock (Luxembourg) S.A. |
3,45 |
24,69 |
- |
- |
- |
9,49 |
31/mrt/2026 |
24,69 |
26,28 |
- |
- |
- |
31/mrt/2026 |
3,45 |
-6,46 |
- |
- |
- |
28,80 |
31/mrt/2026 |
- |
- |
- |
9,89 |
28,75 |
31/dec/2025 |
15/jun/2023 |
6.756,54 |
13,51 |
- |
23,24 |
29/apr/2026 |
Kapitalisatie |
| - |
CHF |
IE000TWQHU07 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
-0,21 |
-0,23 |
- |
- |
- |
1,24 |
31/mrt/2026 |
-0,23 |
1,38 |
- |
- |
- |
31/mrt/2026 |
-0,21 |
-0,40 |
- |
- |
- |
3,62 |
31/mrt/2026 |
- |
- |
- |
0,83 |
0,07 |
31/dec/2025 |
09/mei/2023 |
314.269,91 |
9,97 |
9,97 |
207,52 |
30/apr/2026 |
Distributie |
| - |
USD |
IE000UHEFYE4 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,70 |
4,22 |
- |
- |
- |
5,51 |
31/mrt/2026 |
4,22 |
5,62 |
- |
- |
- |
31/mrt/2026 |
0,70 |
1,65 |
- |
- |
- |
16,78 |
31/mrt/2026 |
- |
- |
- |
4,96 |
4,68 |
31/dec/2025 |
09/mei/2023 |
2.210.674,43 |
11,29 |
11,29 |
207,52 |
30/apr/2026 |
Distributie |
| - |
USD |
IE000XT6SQV9 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
0,71 |
4,23 |
- |
- |
- |
5,53 |
31/mrt/2026 |
4,23 |
5,67 |
- |
- |
- |
31/mrt/2026 |
0,71 |
1,66 |
- |
- |
- |
16,83 |
31/mrt/2026 |
- |
- |
- |
5,00 |
4,68 |
31/dec/2025 |
09/mei/2023 |
2.298.527,55 |
11,72 |
11,72 |
207,52 |
30/apr/2026 |
Kapitalisatie |
| - |
SEK |
LU2614586084 |
BGF Sustainable Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-6,39 |
9,05 |
- |
- |
- |
6,11 |
31/mrt/2026 |
9,05 |
-2,45 |
- |
- |
- |
31/mrt/2026 |
-6,39 |
-3,61 |
- |
- |
- |
18,40 |
31/mrt/2026 |
- |
- |
- |
5,72 |
12,61 |
31/dec/2025 |
24/mei/2023 |
100.117.023,28 |
126,41 |
- |
226,78 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
IE000YDQAIF0 |
BlackRock Euro Investment Grade Fixed Maturity Bond Fund 2026 |
BlackRock Asset Management Ireland Limited |
-0,21 |
-0,26 |
- |
- |
- |
1,24 |
31/mrt/2026 |
-0,26 |
1,42 |
- |
- |
- |
31/mrt/2026 |
-0,21 |
-0,39 |
- |
- |
- |
3,63 |
31/mrt/2026 |
- |
- |
- |
0,84 |
0,10 |
31/dec/2025 |
09/mei/2023 |
176.641,41 |
10,36 |
10,36 |
207,52 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2608636739 |
BGF Systematic China Environmental Tech Fund |
BlackRock (Luxembourg) S.A. |
3,57 |
25,14 |
- |
- |
- |
9,97 |
31/mrt/2026 |
25,14 |
26,92 |
- |
- |
- |
31/mrt/2026 |
3,57 |
-6,32 |
- |
- |
- |
30,40 |
31/mrt/2026 |
- |
- |
- |
10,43 |
29,26 |
31/dec/2025 |
15/jun/2023 |
6.843,62 |
13,69 |
- |
23,24 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2600820943 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
5,52 |
28,60 |
- |
- |
- |
9,92 |
31/mrt/2026 |
28,60 |
-8,02 |
- |
- |
- |
31/mrt/2026 |
5,52 |
13,87 |
- |
- |
- |
30,53 |
31/mrt/2026 |
- |
- |
- |
0,31 |
18,75 |
31/dec/2025 |
06/jun/2023 |
559.739,63 |
12,87 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2600821081 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
3,75 |
37,16 |
- |
- |
- |
12,97 |
31/mrt/2026 |
37,16 |
-7,97 |
- |
- |
- |
31/mrt/2026 |
3,75 |
11,99 |
- |
- |
- |
41,00 |
31/mrt/2026 |
- |
- |
- |
-5,94 |
34,16 |
31/dec/2025 |
06/jun/2023 |
2.036.791,10 |
15,05 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2613356117 |
BGF Systematic China Environmental Tech Fund |
BlackRock (Luxembourg) S.A. |
3,52 |
24,88 |
- |
- |
- |
9,70 |
31/mrt/2026 |
24,88 |
26,46 |
- |
- |
- |
31/mrt/2026 |
3,52 |
-6,36 |
- |
- |
- |
29,50 |
31/mrt/2026 |
- |
- |
- |
10,10 |
28,97 |
31/dec/2025 |
15/jun/2023 |
6.792,78 |
13,59 |
- |
23,24 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2600820513 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
5,15 |
26,50 |
- |
- |
- |
8,12 |
31/mrt/2026 |
26,50 |
-9,55 |
- |
- |
- |
31/mrt/2026 |
5,15 |
12,96 |
- |
- |
- |
24,60 |
31/mrt/2026 |
- |
- |
- |
-1,36 |
16,75 |
31/dec/2025 |
06/jun/2023 |
639.936,74 |
13,10 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2600820190 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
5,24 |
27,18 |
- |
- |
- |
8,66 |
31/mrt/2026 |
27,18 |
-9,08 |
- |
- |
- |
31/mrt/2026 |
5,24 |
13,30 |
- |
- |
- |
26,36 |
31/mrt/2026 |
- |
- |
- |
-0,93 |
17,43 |
31/dec/2025 |
06/jun/2023 |
1.015.345,05 |
12,45 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2600820356 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
5,48 |
28,25 |
- |
- |
- |
9,57 |
31/mrt/2026 |
28,25 |
-8,34 |
- |
- |
- |
31/mrt/2026 |
5,48 |
13,70 |
- |
- |
- |
29,35 |
31/mrt/2026 |
- |
- |
- |
0,00 |
18,33 |
31/dec/2025 |
06/jun/2023 |
4.884.680,21 |
12,76 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2600820273 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
3,64 |
36,69 |
- |
- |
- |
12,60 |
31/mrt/2026 |
36,69 |
-8,18 |
- |
- |
- |
31/mrt/2026 |
3,64 |
11,76 |
- |
- |
- |
39,70 |
31/mrt/2026 |
- |
- |
- |
-6,23 |
33,73 |
31/dec/2025 |
06/jun/2023 |
960.266,15 |
14,91 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2600820430 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
5,24 |
27,14 |
- |
- |
- |
8,70 |
31/mrt/2026 |
27,14 |
-8,97 |
- |
- |
- |
31/mrt/2026 |
5,24 |
13,35 |
- |
- |
- |
26,50 |
31/mrt/2026 |
- |
- |
- |
-0,78 |
17,38 |
31/dec/2025 |
06/jun/2023 |
6.198,98 |
13,30 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2615938151 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,02 |
1,82 |
- |
- |
- |
3,65 |
31/mrt/2026 |
1,82 |
2,34 |
- |
- |
- |
31/mrt/2026 |
-0,02 |
-2,52 |
- |
- |
- |
10,60 |
31/mrt/2026 |
- |
- |
- |
5,85 |
2,67 |
31/dec/2025 |
07/jun/2023 |
- |
115,08 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2620702121 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,08 |
4,16 |
- |
- |
- |
5,84 |
31/mrt/2026 |
4,16 |
5,31 |
- |
- |
- |
31/mrt/2026 |
-1,08 |
0,02 |
- |
- |
- |
17,31 |
31/mrt/2026 |
- |
- |
- |
4,40 |
6,84 |
31/dec/2025 |
07/jun/2023 |
4.987,95 |
9,98 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2621334601 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,87 |
5,32 |
- |
- |
- |
5,95 |
31/mrt/2026 |
5,32 |
5,57 |
- |
- |
- |
31/mrt/2026 |
-0,87 |
0,46 |
- |
- |
- |
17,67 |
31/mrt/2026 |
- |
- |
- |
4,48 |
8,00 |
31/dec/2025 |
07/jun/2023 |
5.201,42 |
10,40 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2620702048 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,82 |
4,17 |
- |
- |
- |
5,32 |
31/mrt/2026 |
4,17 |
5,10 |
- |
- |
- |
31/mrt/2026 |
-0,82 |
0,05 |
- |
- |
- |
15,70 |
31/mrt/2026 |
- |
- |
- |
3,34 |
6,87 |
31/dec/2025 |
07/jun/2023 |
5.110,54 |
10,22 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2621334783 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,03 |
3,91 |
- |
- |
- |
4,70 |
31/mrt/2026 |
3,91 |
5,37 |
- |
- |
- |
31/mrt/2026 |
-0,03 |
1,16 |
- |
- |
- |
13,78 |
31/mrt/2026 |
- |
- |
- |
4,44 |
5,45 |
31/dec/2025 |
07/jun/2023 |
499.379,07 |
9,97 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2608636226 |
BGF Systematic China Environmental Tech Fund |
BlackRock (Luxembourg) S.A. |
2,00 |
17,44 |
- |
- |
- |
7,30 |
31/mrt/2026 |
17,44 |
25,39 |
- |
- |
- |
31/mrt/2026 |
2,00 |
-9,86 |
- |
- |
- |
21,73 |
31/mrt/2026 |
- |
- |
- |
12,18 |
21,65 |
31/dec/2025 |
15/jun/2023 |
45.298,00 |
90,34 |
- |
23,24 |
29/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2631410169 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,00 |
2,95 |
- |
- |
- |
4,10 |
31/mrt/2026 |
2,95 |
5,14 |
- |
- |
- |
31/mrt/2026 |
0,00 |
-0,36 |
- |
- |
- |
11,70 |
31/mrt/2026 |
- |
- |
- |
7,15 |
3,52 |
31/dec/2025 |
28/jun/2023 |
7.663,32 |
11,33 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2631410243 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,00 |
3,39 |
- |
- |
- |
4,47 |
31/mrt/2026 |
3,39 |
5,52 |
- |
- |
- |
31/mrt/2026 |
0,00 |
-0,18 |
- |
- |
- |
12,80 |
31/mrt/2026 |
- |
- |
- |
7,54 |
3,96 |
31/dec/2025 |
28/jun/2023 |
7.741,89 |
11,44 |
- |
12.242,05 |
29/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2637965786 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,39 |
11,84 |
- |
- |
- |
6,68 |
31/mrt/2026 |
11,84 |
-0,03 |
- |
- |
- |
31/mrt/2026 |
-4,39 |
-1,85 |
- |
- |
- |
19,04 |
31/mrt/2026 |
- |
- |
- |
7,00 |
14,62 |
31/dec/2025 |
19/jul/2023 |
4.203.078,69 |
11,01 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2637965430 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,24 |
12,58 |
- |
- |
- |
7,53 |
31/mrt/2026 |
12,58 |
0,63 |
- |
- |
- |
31/mrt/2026 |
-4,24 |
-1,33 |
- |
- |
- |
21,63 |
31/mrt/2026 |
- |
- |
- |
7,55 |
15,51 |
31/dec/2025 |
19/jul/2023 |
12.883.093,38 |
109,67 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2637965869 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,99 |
13,28 |
- |
- |
- |
7,44 |
31/mrt/2026 |
13,28 |
0,42 |
- |
- |
- |
31/mrt/2026 |
-3,99 |
-0,98 |
- |
- |
- |
21,37 |
31/mrt/2026 |
- |
- |
- |
7,28 |
15,95 |
31/dec/2025 |
19/jul/2023 |
7.276.292,40 |
10,81 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU2637965943 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,71 |
16,29 |
- |
- |
- |
11,16 |
31/mrt/2026 |
16,29 |
4,07 |
- |
- |
- |
31/mrt/2026 |
-3,71 |
-0,01 |
- |
- |
- |
33,03 |
31/mrt/2026 |
- |
- |
- |
11,52 |
19,56 |
31/dec/2025 |
19/jul/2023 |
97.215,93 |
108,38 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2637965604 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,46 |
11,32 |
- |
- |
- |
5,96 |
31/mrt/2026 |
11,32 |
-0,93 |
- |
- |
- |
31/mrt/2026 |
-4,46 |
-1,98 |
- |
- |
- |
16,90 |
31/mrt/2026 |
- |
- |
- |
5,72 |
14,14 |
31/dec/2025 |
19/jul/2023 |
836.451.283,22 |
104,64 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2637965356 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,88 |
14,68 |
- |
- |
- |
8,92 |
31/mrt/2026 |
14,68 |
1,71 |
- |
- |
- |
31/mrt/2026 |
-3,88 |
-0,76 |
- |
- |
- |
25,92 |
31/mrt/2026 |
- |
- |
- |
8,81 |
17,42 |
31/dec/2025 |
19/jul/2023 |
209.008.923,17 |
11,24 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2637965513 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,67 |
11,15 |
- |
- |
- |
6,41 |
31/mrt/2026 |
11,15 |
-0,17 |
- |
- |
- |
31/mrt/2026 |
-4,67 |
-2,29 |
- |
- |
- |
18,25 |
31/mrt/2026 |
- |
- |
- |
6,91 |
14,18 |
31/dec/2025 |
19/jul/2023 |
43.340.597,26 |
10,77 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
CZK |
LU2637456042 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,86 |
30,08 |
- |
- |
- |
14,05 |
31/mrt/2026 |
30,08 |
-3,73 |
- |
- |
- |
31/mrt/2026 |
-5,86 |
-0,13 |
- |
- |
- |
42,57 |
31/mrt/2026 |
- |
- |
- |
14,88 |
26,79 |
31/dec/2025 |
19/jul/2023 |
1.137.484,11 |
165,37 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2641782409 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,65 |
1,03 |
- |
- |
- |
2,14 |
31/mrt/2026 |
1,03 |
2,57 |
- |
- |
- |
31/mrt/2026 |
-0,65 |
-0,13 |
- |
- |
- |
5,83 |
31/mrt/2026 |
- |
- |
- |
1,46 |
2,71 |
31/dec/2025 |
26/jul/2023 |
3.154.091,44 |
95,40 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2641782821 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,66 |
9,29 |
- |
- |
- |
10,64 |
31/mrt/2026 |
9,29 |
7,23 |
- |
- |
- |
31/mrt/2026 |
-0,66 |
0,32 |
- |
- |
- |
30,89 |
31/mrt/2026 |
- |
- |
- |
14,82 |
9,96 |
31/dec/2025 |
02/aug/2023 |
13.165.308,64 |
11,27 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2644453024 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,04 |
2,91 |
- |
- |
- |
4,35 |
31/mrt/2026 |
2,91 |
3,95 |
- |
- |
- |
31/mrt/2026 |
-1,04 |
-0,79 |
- |
- |
- |
11,99 |
31/mrt/2026 |
- |
- |
- |
3,30 |
6,41 |
31/dec/2025 |
02/aug/2023 |
1.952.506,34 |
95,47 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2649165938 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-0,99 |
4,54 |
- |
- |
- |
7,09 |
31/mrt/2026 |
4,54 |
4,17 |
- |
- |
- |
31/mrt/2026 |
-0,99 |
-3,61 |
- |
- |
- |
19,85 |
31/mrt/2026 |
- |
- |
- |
3,61 |
9,74 |
31/dec/2025 |
09/aug/2023 |
- |
126,52 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2649133068 |
BGF Asian Multi-Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-1,79 |
12,14 |
- |
- |
- |
7,84 |
31/mrt/2026 |
12,14 |
6,10 |
- |
- |
- |
31/mrt/2026 |
-1,79 |
-0,25 |
- |
- |
- |
22,06 |
31/mrt/2026 |
- |
- |
- |
5,57 |
15,43 |
31/dec/2025 |
09/aug/2023 |
22.062.740,36 |
10,70 |
- |
652,50 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2655522857 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,98 |
7,65 |
- |
- |
- |
8,63 |
31/mrt/2026 |
7,65 |
3,93 |
- |
- |
- |
31/mrt/2026 |
-0,98 |
-0,41 |
- |
- |
- |
23,67 |
31/mrt/2026 |
- |
- |
- |
11,12 |
7,86 |
31/dec/2025 |
06/sep/2023 |
62.612.842.855,47 |
1.064,00 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2655523079 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-2,14 |
4,04 |
- |
- |
- |
3,27 |
31/mrt/2026 |
4,04 |
-0,50 |
- |
- |
- |
31/mrt/2026 |
-2,14 |
-1,33 |
- |
- |
- |
8,60 |
31/mrt/2026 |
- |
- |
- |
0,64 |
6,06 |
31/dec/2025 |
06/sep/2023 |
578.059.164,81 |
943,00 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2655523152 |
BGF Global Multi Asset Income Fund |
BlackRock (Luxembourg) S.A. |
-2,28 |
3,55 |
- |
- |
- |
3,80 |
31/mrt/2026 |
3,55 |
0,34 |
- |
- |
- |
31/mrt/2026 |
-2,28 |
-1,66 |
- |
- |
- |
10,06 |
31/mrt/2026 |
- |
- |
- |
1,94 |
5,75 |
31/dec/2025 |
06/sep/2023 |
426.563,14 |
9,55 |
- |
4.168,63 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2655522931 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-1,32 |
6,88 |
- |
- |
- |
9,02 |
31/mrt/2026 |
6,88 |
4,87 |
- |
- |
- |
31/mrt/2026 |
-1,32 |
-0,92 |
- |
- |
- |
24,81 |
31/mrt/2026 |
- |
- |
- |
12,29 |
7,57 |
31/dec/2025 |
06/sep/2023 |
24.258.907,00 |
10,75 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2655523319 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,63 |
5,11 |
- |
- |
- |
5,02 |
31/mrt/2026 |
5,11 |
-0,03 |
- |
- |
- |
31/mrt/2026 |
-3,63 |
-2,49 |
- |
- |
- |
13,40 |
31/mrt/2026 |
- |
- |
- |
5,09 |
6,92 |
31/dec/2025 |
06/sep/2023 |
3.840.911,59 |
9,73 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2655523236 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,28 |
5,77 |
- |
- |
- |
4,60 |
31/mrt/2026 |
5,77 |
-0,83 |
- |
- |
- |
31/mrt/2026 |
-3,28 |
-2,01 |
- |
- |
- |
12,23 |
31/mrt/2026 |
- |
- |
- |
3,80 |
7,16 |
31/dec/2025 |
06/sep/2023 |
5.072.601.790,33 |
960,00 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2664936148 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,59 |
9,92 |
- |
- |
- |
9,86 |
31/mrt/2026 |
9,92 |
4,98 |
- |
- |
- |
31/mrt/2026 |
-0,59 |
1,21 |
- |
- |
- |
27,06 |
31/mrt/2026 |
- |
- |
- |
9,43 |
10,97 |
31/dec/2025 |
13/sep/2023 |
4.380,56 |
10,94 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU2664936221 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
-0,63 |
9,24 |
- |
- |
- |
9,05 |
31/mrt/2026 |
9,24 |
4,15 |
- |
- |
- |
31/mrt/2026 |
-0,63 |
1,09 |
- |
- |
- |
24,70 |
31/mrt/2026 |
- |
- |
- |
8,41 |
10,30 |
31/dec/2025 |
13/sep/2023 |
645.181,00 |
10,74 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2663582299 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,86 |
2,46 |
- |
- |
- |
13,03 |
31/mrt/2026 |
2,46 |
20,40 |
- |
- |
- |
31/mrt/2026 |
0,86 |
3,09 |
- |
- |
- |
35,31 |
31/mrt/2026 |
- |
- |
- |
23,69 |
5,74 |
31/dec/2025 |
11/okt/2023 |
- |
137,08 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2667125376 |
BGF Circular Economy |
BlackRock (Luxembourg) S.A. |
-5,84 |
-6,70 |
- |
- |
- |
0,98 |
31/mrt/2026 |
-6,70 |
-7,77 |
- |
- |
- |
31/mrt/2026 |
-5,84 |
-8,74 |
- |
- |
- |
2,43 |
31/mrt/2026 |
- |
- |
- |
5,50 |
-5,23 |
31/dec/2025 |
11/okt/2023 |
18.395,22 |
10,98 |
- |
498,12 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2667125459 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,71 |
1,21 |
- |
- |
- |
2,90 |
31/mrt/2026 |
1,21 |
3,34 |
- |
- |
- |
31/mrt/2026 |
-0,71 |
-0,20 |
- |
- |
- |
7,31 |
31/mrt/2026 |
- |
- |
- |
2,53 |
2,95 |
31/dec/2025 |
11/okt/2023 |
1.016.957,84 |
9,53 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2701601663 |
BGF China Multi-Asset Fund |
BlackRock (Luxembourg) S.A. |
-4,81 |
1,68 |
- |
- |
- |
5,97 |
31/mrt/2026 |
1,68 |
17,46 |
- |
- |
- |
31/mrt/2026 |
-4,81 |
-6,96 |
- |
- |
- |
14,90 |
31/mrt/2026 |
- |
- |
- |
11,24 |
11,86 |
31/dec/2025 |
08/nov/2023 |
17.314,51 |
11,87 |
- |
25,14 |
29/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2699150210 |
BGF US Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,24 |
28,18 |
- |
- |
- |
16,52 |
31/mrt/2026 |
28,18 |
-4,90 |
- |
- |
- |
31/mrt/2026 |
-6,24 |
-0,96 |
- |
- |
- |
44,20 |
31/mrt/2026 |
- |
- |
- |
13,24 |
24,84 |
31/dec/2025 |
08/nov/2023 |
2.535.827,65 |
16,71 |
- |
2.354,48 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2699150137 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,28 |
1,22 |
- |
- |
- |
3,27 |
31/mrt/2026 |
1,22 |
2,01 |
- |
- |
- |
31/mrt/2026 |
-1,28 |
-1,01 |
- |
- |
- |
8,00 |
31/mrt/2026 |
- |
- |
- |
-0,66 |
4,39 |
31/dec/2025 |
08/nov/2023 |
2.744.943,95 |
10,80 |
- |
530,12 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2701601580 |
BGF Systematic China Environmental Tech Fund |
BlackRock (Luxembourg) S.A. |
2,64 |
20,05 |
- |
- |
- |
12,40 |
31/mrt/2026 |
20,05 |
21,77 |
- |
- |
- |
31/mrt/2026 |
2,64 |
-8,00 |
- |
- |
- |
32,30 |
31/mrt/2026 |
- |
- |
- |
6,42 |
23,47 |
31/dec/2025 |
08/nov/2023 |
288.290,65 |
13,83 |
- |
23,24 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2708802660 |
BGF Asian Tiger Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,44 |
5,91 |
- |
- |
- |
8,45 |
31/mrt/2026 |
5,91 |
6,84 |
- |
- |
- |
31/mrt/2026 |
-0,44 |
0,44 |
- |
- |
- |
21,25 |
31/mrt/2026 |
- |
- |
- |
6,43 |
9,35 |
31/dec/2025 |
15/nov/2023 |
5.230,14 |
10,46 |
- |
2.152,69 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2708802587 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
0,61 |
5,74 |
- |
- |
- |
7,34 |
31/mrt/2026 |
5,74 |
7,15 |
- |
- |
- |
31/mrt/2026 |
0,61 |
1,10 |
- |
- |
- |
18,32 |
31/mrt/2026 |
- |
- |
- |
9,11 |
6,16 |
31/dec/2025 |
15/nov/2023 |
154.955,65 |
10,14 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
USD |
LU2708803122 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,79 |
4,18 |
- |
- |
- |
6,31 |
31/mrt/2026 |
4,18 |
5,04 |
- |
- |
- |
31/mrt/2026 |
-0,79 |
-0,01 |
- |
- |
- |
15,64 |
31/mrt/2026 |
- |
- |
- |
3,36 |
6,81 |
31/dec/2025 |
15/nov/2023 |
845.889,31 |
10,08 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2708803395 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,43 |
1,19 |
- |
- |
- |
3,35 |
31/mrt/2026 |
1,19 |
2,29 |
- |
- |
- |
31/mrt/2026 |
-1,43 |
-1,27 |
- |
- |
- |
8,14 |
31/mrt/2026 |
- |
- |
- |
0,31 |
4,00 |
31/dec/2025 |
15/nov/2023 |
35.603,80 |
97,46 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2708803478 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,06 |
3,94 |
- |
- |
- |
4,98 |
31/mrt/2026 |
3,94 |
5,28 |
- |
- |
- |
31/mrt/2026 |
-0,06 |
1,19 |
- |
- |
- |
12,23 |
31/mrt/2026 |
- |
- |
- |
4,52 |
5,41 |
31/dec/2025 |
15/nov/2023 |
1.500.585,02 |
9,88 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2708803551 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,64 |
1,03 |
- |
- |
- |
2,14 |
31/mrt/2026 |
1,03 |
2,59 |
- |
- |
- |
31/mrt/2026 |
-0,64 |
-0,13 |
- |
- |
- |
5,15 |
31/mrt/2026 |
- |
- |
- |
1,46 |
2,71 |
31/dec/2025 |
15/nov/2023 |
34.420,82 |
94,23 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2708803049 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,03 |
4,21 |
- |
- |
- |
6,24 |
31/mrt/2026 |
4,21 |
5,23 |
- |
- |
- |
31/mrt/2026 |
-1,03 |
0,01 |
- |
- |
- |
15,46 |
31/mrt/2026 |
- |
- |
- |
4,39 |
6,86 |
31/dec/2025 |
15/nov/2023 |
717.506,26 |
9,78 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2708802827 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
-0,76 |
5,28 |
- |
- |
- |
6,57 |
31/mrt/2026 |
5,28 |
5,64 |
- |
- |
- |
31/mrt/2026 |
-0,76 |
0,54 |
- |
- |
- |
16,32 |
31/mrt/2026 |
- |
- |
- |
4,48 |
7,88 |
31/dec/2025 |
15/nov/2023 |
25.593.955,34 |
10,03 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2697544943 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2027 (1) |
BlackRock (Luxembourg) S.A. |
-0,28 |
1,91 |
- |
- |
- |
3,36 |
31/mrt/2026 |
1,91 |
- |
- |
- |
- |
31/mrt/2026 |
-0,28 |
0,19 |
- |
- |
- |
6,80 |
31/mrt/2026 |
- |
- |
- |
- |
2,78 |
31/dec/2025 |
04/apr/2024 |
12.379.232,25 |
10,73 |
- |
90,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2697545247 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,78 |
1,89 |
- |
- |
- |
1,59 |
31/mrt/2026 |
1,89 |
- |
- |
- |
- |
31/mrt/2026 |
-0,78 |
-0,39 |
- |
- |
- |
2,30 |
31/mrt/2026 |
- |
- |
- |
- |
3,31 |
31/dec/2025 |
21/okt/2024 |
14.599.456,48 |
10,30 |
- |
329,99 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2697545676 |
BGF Global Listed Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
9,83 |
19,29 |
- |
- |
- |
18,52 |
31/mrt/2026 |
19,29 |
16,38 |
- |
- |
- |
31/mrt/2026 |
9,83 |
10,68 |
- |
- |
- |
44,10 |
31/mrt/2026 |
- |
- |
- |
- |
15,19 |
31/dec/2025 |
06/feb/2024 |
66.854,66 |
14,84 |
- |
52,44 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2697545163 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
-0,55 |
6,22 |
- |
- |
- |
4,82 |
31/mrt/2026 |
6,22 |
- |
- |
- |
- |
31/mrt/2026 |
-0,55 |
0,09 |
- |
- |
- |
7,60 |
31/mrt/2026 |
- |
- |
- |
- |
7,66 |
31/dec/2025 |
10/sep/2024 |
6.263.357,97 |
10,96 |
- |
327,31 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2713296288 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,36 |
96,69 |
- |
- |
- |
57,11 |
31/mrt/2026 |
96,69 |
43,00 |
- |
- |
- |
31/mrt/2026 |
1,36 |
20,96 |
- |
- |
- |
184,81 |
31/mrt/2026 |
- |
- |
- |
10,39 |
152,63 |
31/dec/2025 |
06/dec/2023 |
28.907.118,06 |
240,83 |
- |
11.254,06 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU2713296106 |
BGF World Gold Fund |
BlackRock (Luxembourg) S.A. |
1,37 |
96,73 |
- |
- |
- |
57,12 |
31/mrt/2026 |
96,73 |
42,98 |
- |
- |
- |
31/mrt/2026 |
1,37 |
20,96 |
- |
- |
- |
184,86 |
31/mrt/2026 |
- |
- |
- |
10,38 |
152,66 |
31/dec/2025 |
06/dec/2023 |
101.309,81 |
283,53 |
- |
11.254,06 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2716890988 |
BSF Systematic World Equity Fund |
BlackRock (Luxembourg) S.A. |
-4,67 |
20,17 |
- |
- |
- |
17,29 |
31/mrt/2026 |
20,17 |
5,71 |
- |
- |
- |
31/mrt/2026 |
-4,67 |
-0,40 |
- |
- |
- |
44,69 |
31/mrt/2026 |
- |
- |
- |
19,58 |
21,42 |
31/dec/2025 |
06/dec/2023 |
- |
158,16 |
- |
2.837,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2720917140 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,15 |
14,10 |
- |
- |
- |
-0,63 |
31/mrt/2026 |
14,10 |
-13,33 |
- |
- |
- |
31/mrt/2026 |
-7,15 |
-5,55 |
- |
- |
- |
-1,30 |
31/mrt/2026 |
- |
- |
- |
- |
11,43 |
31/dec/2025 |
07/mrt/2024 |
5.747,87 |
11,50 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2720916845 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,98 |
14,70 |
- |
- |
- |
-0,05 |
31/mrt/2026 |
14,70 |
-12,73 |
- |
- |
- |
31/mrt/2026 |
-6,98 |
-5,31 |
- |
- |
- |
-0,10 |
31/mrt/2026 |
- |
- |
- |
- |
11,99 |
31/dec/2025 |
07/mrt/2024 |
23.019.002,99 |
11,64 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2720917066 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
-6,71 |
15,60 |
- |
- |
- |
0,72 |
31/mrt/2026 |
15,60 |
-12,11 |
- |
- |
- |
31/mrt/2026 |
-6,71 |
-4,87 |
- |
- |
- |
1,50 |
31/mrt/2026 |
- |
- |
- |
- |
12,75 |
31/dec/2025 |
07/mrt/2024 |
40.576.206,73 |
11,82 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
IE000NRW0LV8 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,00 |
17,67 |
- |
- |
- |
14,01 |
31/mrt/2026 |
17,67 |
3,21 |
- |
- |
- |
31/mrt/2026 |
-7,00 |
-2,97 |
- |
- |
- |
34,81 |
31/mrt/2026 |
- |
- |
- |
23,77 |
17,00 |
31/dec/2025 |
20/dec/2023 |
6.270.791,57 |
151,15 |
151,15 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2725777572 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,46 |
2,24 |
- |
- |
- |
3,14 |
31/mrt/2026 |
2,24 |
4,15 |
- |
- |
- |
31/mrt/2026 |
-1,46 |
-0,59 |
- |
- |
- |
7,29 |
31/mrt/2026 |
- |
- |
- |
3,16 |
5,13 |
31/dec/2025 |
20/dec/2023 |
2.981.091,38 |
93,44 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2723611005 |
BGF Brown to Green Materials Fund |
BlackRock (Luxembourg) S.A. |
5,04 |
33,71 |
- |
- |
- |
10,89 |
31/mrt/2026 |
33,71 |
-10,07 |
- |
- |
- |
31/mrt/2026 |
5,04 |
13,45 |
- |
- |
- |
26,55 |
31/mrt/2026 |
- |
- |
- |
-4,37 |
25,09 |
31/dec/2025 |
20/dec/2023 |
14.075.007,53 |
11,13 |
- |
128,20 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2723611187 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-1,82 |
1,23 |
- |
- |
- |
2,24 |
31/mrt/2026 |
1,23 |
3,34 |
- |
- |
- |
31/mrt/2026 |
-1,82 |
-1,47 |
- |
- |
- |
5,18 |
31/mrt/2026 |
- |
- |
- |
2,50 |
4,21 |
31/dec/2025 |
20/dec/2023 |
6.182,95 |
9,22 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2725777739 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,76 |
0,09 |
- |
- |
- |
-0,69 |
31/mrt/2026 |
0,09 |
-0,40 |
- |
- |
- |
31/mrt/2026 |
-1,76 |
-1,86 |
- |
- |
- |
-1,56 |
31/mrt/2026 |
- |
- |
- |
-2,28 |
2,44 |
31/dec/2025 |
20/dec/2023 |
1.105.490.764,88 |
888,00 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU2725777655 |
BGF Global Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,32 |
6,55 |
- |
- |
- |
6,80 |
31/mrt/2026 |
6,55 |
7,93 |
- |
- |
- |
31/mrt/2026 |
-0,32 |
1,15 |
- |
- |
- |
16,15 |
31/mrt/2026 |
- |
- |
- |
6,13 |
9,53 |
31/dec/2025 |
20/dec/2023 |
557.987,52 |
96,47 |
- |
1.467,04 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2725777812 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,32 |
5,91 |
- |
- |
- |
6,77 |
31/mrt/2026 |
5,91 |
6,78 |
- |
- |
- |
31/mrt/2026 |
-1,32 |
0,04 |
- |
- |
- |
16,10 |
31/mrt/2026 |
- |
- |
- |
8,18 |
8,11 |
31/dec/2025 |
20/dec/2023 |
178.121,14 |
9,91 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2725777903 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,00 |
1,93 |
- |
- |
- |
2,02 |
31/mrt/2026 |
1,93 |
1,53 |
- |
- |
- |
31/mrt/2026 |
-2,00 |
-1,61 |
- |
- |
- |
4,66 |
31/mrt/2026 |
- |
- |
- |
2,45 |
3,72 |
31/dec/2025 |
20/dec/2023 |
2.478.507.900,07 |
901,00 |
- |
1.932,57 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2725777499 |
BGF ESG Emerging Markets Blended Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,07 |
8,59 |
- |
- |
- |
6,71 |
31/mrt/2026 |
8,59 |
3,22 |
- |
- |
- |
31/mrt/2026 |
-1,07 |
2,77 |
- |
- |
- |
15,10 |
31/mrt/2026 |
- |
- |
- |
- |
9,44 |
31/dec/2025 |
31/jan/2024 |
3.194.813,39 |
11,22 |
- |
40,74 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2725778034 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,33 |
6,52 |
- |
- |
- |
6,62 |
31/mrt/2026 |
6,52 |
5,91 |
- |
- |
- |
31/mrt/2026 |
-1,33 |
0,31 |
- |
- |
- |
15,73 |
31/mrt/2026 |
- |
- |
- |
7,29 |
8,46 |
31/dec/2025 |
20/dec/2023 |
7.180.154,69 |
9,94 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2725778117 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,11 |
2,49 |
- |
- |
- |
1,88 |
31/mrt/2026 |
2,49 |
0,74 |
- |
- |
- |
31/mrt/2026 |
-2,11 |
-1,41 |
- |
- |
- |
4,32 |
31/mrt/2026 |
- |
- |
- |
1,90 |
3,96 |
31/dec/2025 |
20/dec/2023 |
4.784.951.351,35 |
896,00 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2719174067 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
0,19 |
30,20 |
- |
- |
- |
8,90 |
31/mrt/2026 |
30,20 |
- |
- |
- |
- |
31/mrt/2026 |
0,19 |
10,26 |
- |
- |
- |
16,45 |
31/mrt/2026 |
- |
- |
- |
- |
23,28 |
31/dec/2025 |
13/mei/2024 |
227.223.303,75 |
104,72 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2719174570 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
2,41 |
30,85 |
- |
- |
- |
8,99 |
31/mrt/2026 |
30,85 |
- |
- |
- |
- |
31/mrt/2026 |
2,41 |
13,47 |
- |
- |
- |
16,63 |
31/mrt/2026 |
- |
- |
- |
- |
18,08 |
31/dec/2025 |
13/mei/2024 |
588.226,92 |
76,83 |
- |
354,35 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2719174901 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
0,38 |
31,19 |
- |
- |
- |
9,73 |
31/mrt/2026 |
31,19 |
- |
- |
- |
- |
31/mrt/2026 |
0,38 |
10,68 |
- |
- |
- |
18,04 |
31/mrt/2026 |
- |
- |
- |
- |
24,21 |
31/dec/2025 |
13/mei/2024 |
11.719.062,00 |
120,65 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2719174810 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
0,83 |
33,49 |
- |
- |
- |
11,68 |
31/mrt/2026 |
33,49 |
- |
- |
- |
- |
31/mrt/2026 |
0,83 |
11,75 |
- |
- |
- |
21,82 |
31/mrt/2026 |
- |
- |
- |
- |
26,50 |
31/dec/2025 |
13/mei/2024 |
112.432,97 |
100,93 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2719175114 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
2,61 |
31,83 |
- |
- |
- |
9,82 |
31/mrt/2026 |
31,83 |
- |
- |
- |
- |
31/mrt/2026 |
2,61 |
13,93 |
- |
- |
- |
18,22 |
31/mrt/2026 |
- |
- |
- |
- |
19,00 |
31/dec/2025 |
13/mei/2024 |
58.891,88 |
77,34 |
- |
354,35 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2719175387 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
0,99 |
33,52 |
- |
- |
- |
11,23 |
31/mrt/2026 |
33,52 |
- |
- |
- |
- |
31/mrt/2026 |
0,99 |
11,65 |
- |
- |
- |
20,93 |
31/mrt/2026 |
- |
- |
- |
- |
25,97 |
31/dec/2025 |
13/mei/2024 |
242.320,79 |
103,51 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2719175205 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
0,07 |
29,56 |
- |
- |
- |
8,36 |
31/mrt/2026 |
29,56 |
- |
- |
- |
- |
31/mrt/2026 |
0,07 |
9,98 |
- |
- |
- |
15,42 |
31/mrt/2026 |
- |
- |
- |
- |
22,67 |
31/dec/2025 |
13/mei/2024 |
12.712.274,97 |
92,42 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2719174224 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
1,11 |
34,18 |
- |
- |
- |
11,78 |
31/mrt/2026 |
34,18 |
- |
- |
- |
- |
31/mrt/2026 |
1,11 |
11,93 |
- |
- |
- |
22,01 |
31/mrt/2026 |
- |
- |
- |
- |
26,60 |
31/dec/2025 |
13/mei/2024 |
53.295.178,29 |
117,29 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2719174141 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
0,12 |
29,60 |
- |
- |
- |
8,70 |
31/mrt/2026 |
29,60 |
- |
- |
- |
- |
31/mrt/2026 |
0,12 |
10,03 |
- |
- |
- |
16,06 |
31/mrt/2026 |
- |
- |
- |
- |
22,84 |
31/dec/2025 |
13/mei/2024 |
712.843,25 |
10,70 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2719174497 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
0,19 |
30,21 |
- |
- |
- |
8,90 |
31/mrt/2026 |
30,21 |
- |
- |
- |
- |
31/mrt/2026 |
0,19 |
10,25 |
- |
- |
- |
16,46 |
31/mrt/2026 |
- |
- |
- |
- |
23,30 |
31/dec/2025 |
13/mei/2024 |
2.309.730,88 |
92,45 |
- |
354,35 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2719175031 |
Emerging Markets Ex-China Fund |
BlackRock (Luxembourg) S.A. |
1,30 |
35,20 |
- |
- |
- |
12,63 |
31/mrt/2026 |
35,20 |
- |
- |
- |
- |
31/mrt/2026 |
1,30 |
12,36 |
- |
- |
- |
23,67 |
31/mrt/2026 |
- |
- |
- |
- |
27,56 |
31/dec/2025 |
13/mei/2024 |
282.647,88 |
135,12 |
- |
354,35 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2728924155 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,76 |
3,75 |
- |
- |
- |
6,23 |
31/mrt/2026 |
3,75 |
6,94 |
- |
- |
- |
31/mrt/2026 |
-1,76 |
-0,84 |
- |
- |
- |
14,37 |
31/mrt/2026 |
- |
- |
- |
- |
7,95 |
31/dec/2025 |
10/jan/2024 |
1.123.122,21 |
9,92 |
- |
851,79 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2728924312 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,14 |
1,67 |
- |
- |
- |
4,63 |
31/mrt/2026 |
1,67 |
5,62 |
- |
- |
- |
31/mrt/2026 |
-2,14 |
-1,81 |
- |
- |
- |
10,59 |
31/mrt/2026 |
- |
- |
- |
- |
5,90 |
31/dec/2025 |
10/jan/2024 |
648.678,35 |
9,55 |
- |
851,79 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2728924239 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,38 |
0,96 |
- |
- |
- |
3,93 |
31/mrt/2026 |
0,96 |
5,00 |
- |
- |
- |
31/mrt/2026 |
-2,38 |
-2,24 |
- |
- |
- |
8,95 |
31/mrt/2026 |
- |
- |
- |
- |
5,20 |
31/dec/2025 |
10/jan/2024 |
1.135.592,02 |
9,39 |
- |
851,79 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2728923264 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,35 |
41,30 |
- |
- |
- |
25,56 |
31/mrt/2026 |
41,30 |
3,56 |
- |
- |
- |
31/mrt/2026 |
3,35 |
11,93 |
- |
- |
- |
65,82 |
31/mrt/2026 |
- |
- |
- |
- |
32,01 |
31/dec/2025 |
10/jan/2024 |
58.702,12 |
150,40 |
- |
61.283,99 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2728923348 |
BGF Japan Small & MidCap Opportunities Fund |
BlackRock (Luxembourg) S.A. |
3,69 |
43,91 |
- |
- |
- |
27,27 |
31/mrt/2026 |
43,91 |
4,51 |
- |
- |
- |
31/mrt/2026 |
3,69 |
12,52 |
- |
- |
- |
70,90 |
31/mrt/2026 |
- |
- |
- |
- |
34,13 |
31/dec/2025 |
10/jan/2024 |
7.667,05 |
15,33 |
- |
61.283,99 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU2728923009 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
2,13 |
30,81 |
- |
- |
- |
20,95 |
31/mrt/2026 |
30,81 |
-0,81 |
- |
- |
- |
31/mrt/2026 |
2,13 |
11,69 |
- |
- |
- |
52,60 |
31/mrt/2026 |
- |
- |
- |
- |
20,55 |
31/dec/2025 |
10/jan/2024 |
1.873.124,23 |
132,62 |
- |
198.591,42 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2728923181 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
2,45 |
33,25 |
- |
- |
- |
22,52 |
31/mrt/2026 |
33,25 |
-0,02 |
- |
- |
- |
31/mrt/2026 |
2,45 |
12,38 |
- |
- |
- |
57,05 |
31/mrt/2026 |
- |
- |
- |
- |
22,36 |
31/dec/2025 |
10/jan/2024 |
11.012.559,75 |
13,56 |
- |
198.591,42 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000GKC6MU5 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,21 |
4,17 |
- |
- |
- |
6,19 |
31/mrt/2026 |
4,17 |
- |
- |
- |
- |
31/mrt/2026 |
-6,21 |
-3,79 |
- |
- |
- |
12,45 |
31/mrt/2026 |
- |
- |
- |
- |
1,53 |
31/dec/2025 |
16/apr/2024 |
28.199.289,21 |
12,24 |
12,24 |
1.685,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE0001ZO2QW8 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,21 |
4,16 |
- |
- |
- |
5,03 |
31/mrt/2026 |
4,16 |
- |
- |
- |
- |
31/mrt/2026 |
-6,21 |
-3,79 |
- |
- |
- |
10,15 |
31/mrt/2026 |
- |
- |
- |
- |
1,53 |
31/dec/2025 |
11/apr/2024 |
15.309.133,86 |
11,89 |
11,89 |
1.685,20 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000BDMMRU2 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-8,61 |
8,48 |
- |
- |
- |
6,86 |
31/mrt/2026 |
8,48 |
- |
- |
- |
- |
31/mrt/2026 |
-8,61 |
-6,89 |
- |
- |
- |
13,96 |
31/mrt/2026 |
- |
- |
- |
- |
12,84 |
31/dec/2025 |
11/apr/2024 |
96.561.485,91 |
12,48 |
12,48 |
1.685,20 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000PBSSTH3 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,14 |
8,75 |
- |
- |
- |
6,18 |
31/mrt/2026 |
8,75 |
- |
- |
- |
- |
31/mrt/2026 |
-6,14 |
-3,69 |
- |
- |
- |
12,54 |
31/mrt/2026 |
- |
- |
- |
- |
7,21 |
31/dec/2025 |
11/apr/2024 |
27.108.094,65 |
12,00 |
12,00 |
1.685,20 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE0007L4ZKN0 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,14 |
8,75 |
- |
- |
- |
6,18 |
31/mrt/2026 |
8,75 |
- |
- |
- |
- |
31/mrt/2026 |
-6,14 |
-3,69 |
- |
- |
- |
12,54 |
31/mrt/2026 |
- |
- |
- |
- |
7,22 |
31/dec/2025 |
11/apr/2024 |
- |
12,10 |
12,10 |
1.685,20 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
IE000V470LW0 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-8,16 |
10,40 |
- |
- |
- |
8,68 |
31/mrt/2026 |
10,40 |
- |
- |
- |
- |
31/mrt/2026 |
-8,16 |
-5,98 |
- |
- |
- |
17,80 |
31/mrt/2026 |
- |
- |
- |
- |
14,84 |
31/dec/2025 |
11/apr/2024 |
215.023.623,06 |
12,92 |
12,92 |
1.685,20 |
30/apr/2026 |
Distributie |
| - |
USD |
IE000IAIEZV9 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,98 |
11,11 |
- |
- |
- |
9,02 |
31/mrt/2026 |
11,11 |
- |
- |
- |
- |
31/mrt/2026 |
-7,98 |
-5,66 |
- |
- |
- |
18,55 |
31/mrt/2026 |
- |
- |
- |
- |
15,16 |
31/dec/2025 |
11/apr/2024 |
20.436.137,55 |
13,02 |
13,02 |
1.685,20 |
30/apr/2026 |
Distributie |
| - |
USD |
IE0007D6Q1Z9 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,98 |
11,11 |
- |
- |
- |
9,02 |
31/mrt/2026 |
11,11 |
- |
- |
- |
- |
31/mrt/2026 |
-7,98 |
-5,66 |
- |
- |
- |
18,55 |
31/mrt/2026 |
- |
- |
- |
- |
15,16 |
31/dec/2025 |
11/apr/2024 |
- |
13,14 |
13,14 |
1.685,20 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000QEX0V46 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,75 |
3,34 |
- |
- |
- |
0,89 |
31/mrt/2026 |
3,34 |
- |
- |
- |
- |
31/mrt/2026 |
-4,75 |
0,05 |
- |
- |
- |
1,69 |
31/mrt/2026 |
- |
- |
- |
- |
9,50 |
31/dec/2025 |
07/mei/2024 |
- |
10,85 |
10,85 |
480,60 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE0000YMJ2O3 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,75 |
3,34 |
- |
- |
- |
0,89 |
31/mrt/2026 |
3,34 |
- |
- |
- |
- |
31/mrt/2026 |
-4,75 |
0,05 |
- |
- |
- |
1,69 |
31/mrt/2026 |
- |
- |
- |
- |
9,50 |
31/dec/2025 |
07/mei/2024 |
35.338.368,36 |
10,49 |
10,49 |
480,60 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000KY07VI3 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-8,16 |
10,41 |
- |
- |
- |
8,66 |
31/mrt/2026 |
10,41 |
- |
- |
- |
- |
31/mrt/2026 |
-8,16 |
-5,98 |
- |
- |
- |
17,77 |
31/mrt/2026 |
- |
- |
- |
- |
14,85 |
31/dec/2025 |
11/apr/2024 |
- |
13,03 |
13,03 |
1.685,20 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
IE0005ROYD13 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,37 |
5,25 |
- |
- |
- |
2,56 |
31/mrt/2026 |
5,25 |
- |
- |
- |
- |
31/mrt/2026 |
-4,37 |
0,94 |
- |
- |
- |
4,91 |
31/mrt/2026 |
- |
- |
- |
- |
11,56 |
31/dec/2025 |
07/mei/2024 |
- |
11,22 |
11,22 |
480,60 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000PCI01N8 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,27 |
5,75 |
- |
- |
- |
2,93 |
31/mrt/2026 |
5,75 |
- |
- |
- |
- |
31/mrt/2026 |
-4,27 |
1,16 |
- |
- |
- |
5,64 |
31/mrt/2026 |
- |
- |
- |
- |
11,84 |
31/dec/2025 |
07/mei/2024 |
- |
11,30 |
11,30 |
480,60 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
IE000LNGBWW1 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,37 |
5,25 |
- |
- |
- |
2,57 |
31/mrt/2026 |
5,25 |
- |
- |
- |
- |
31/mrt/2026 |
-4,37 |
0,94 |
- |
- |
- |
4,93 |
31/mrt/2026 |
- |
- |
- |
- |
11,56 |
31/dec/2025 |
07/mei/2024 |
81.181.532,52 |
10,84 |
10,84 |
480,60 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000B8TPKG3 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,69 |
7,89 |
- |
- |
- |
1,82 |
31/mrt/2026 |
7,89 |
- |
- |
- |
- |
31/mrt/2026 |
-4,69 |
0,16 |
- |
- |
- |
3,48 |
31/mrt/2026 |
- |
- |
- |
- |
15,65 |
31/dec/2025 |
07/mei/2024 |
- |
10,91 |
10,91 |
480,60 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000LFX7QL8 |
QMM Actively Managed US Equity Fund |
BlackRock Asset Management Ireland Limited |
-8,61 |
8,47 |
- |
- |
- |
6,86 |
31/mrt/2026 |
8,47 |
- |
- |
- |
- |
31/mrt/2026 |
-8,61 |
-6,89 |
- |
- |
- |
13,96 |
31/mrt/2026 |
- |
- |
- |
- |
12,83 |
31/dec/2025 |
11/apr/2024 |
- |
12,58 |
12,58 |
1.685,20 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
IE000YQYG8I0 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,68 |
7,87 |
- |
- |
- |
1,81 |
31/mrt/2026 |
7,87 |
- |
- |
- |
- |
31/mrt/2026 |
-4,68 |
0,15 |
- |
- |
- |
3,46 |
31/mrt/2026 |
- |
- |
- |
- |
15,62 |
31/dec/2025 |
07/mei/2024 |
1.216.184,47 |
10,54 |
10,54 |
480,60 |
30/apr/2026 |
Distributie |
| - |
USD |
IE000MX5XGX5 |
QMM Actively Managed Continental European Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,23 |
5,87 |
- |
- |
- |
2,94 |
31/mrt/2026 |
5,87 |
- |
- |
- |
- |
31/mrt/2026 |
-4,23 |
1,23 |
- |
- |
- |
5,65 |
31/mrt/2026 |
- |
- |
- |
- |
11,90 |
31/dec/2025 |
07/mei/2024 |
1.091,09 |
10,91 |
10,91 |
480,60 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000VLKOX59 |
QMM - Actively Managed Global Investment Grade Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,98 |
2,43 |
- |
- |
- |
3,77 |
31/mrt/2026 |
2,43 |
- |
- |
- |
- |
31/mrt/2026 |
-0,98 |
-0,57 |
- |
- |
- |
7,11 |
31/mrt/2026 |
- |
- |
- |
- |
4,76 |
31/dec/2025 |
22/mei/2024 |
- |
10,76 |
10,76 |
346,62 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000HUGJL95 |
QMM - Actively Managed Global Investment Grade Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,97 |
2,44 |
- |
- |
- |
3,78 |
31/mrt/2026 |
2,44 |
- |
- |
- |
- |
31/mrt/2026 |
-0,97 |
-0,56 |
- |
- |
- |
7,13 |
31/mrt/2026 |
- |
- |
- |
- |
4,76 |
31/dec/2025 |
22/mei/2024 |
46.920.860,20 |
9,95 |
9,95 |
346,62 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000L2R6JD7 |
QMM - Actively Managed Global Investment Grade Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,56 |
4,48 |
- |
- |
- |
5,63 |
31/mrt/2026 |
4,48 |
- |
- |
- |
- |
31/mrt/2026 |
-0,56 |
0,36 |
- |
- |
- |
10,70 |
31/mrt/2026 |
- |
- |
- |
- |
6,87 |
31/dec/2025 |
22/mei/2024 |
- |
11,14 |
11,14 |
346,62 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000GDKQD01 |
QMM - Actively Managed Global Investment Grade Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,53 |
4,69 |
- |
- |
- |
5,81 |
31/mrt/2026 |
4,69 |
- |
- |
- |
- |
31/mrt/2026 |
-0,53 |
0,43 |
- |
- |
- |
11,05 |
31/mrt/2026 |
- |
- |
- |
- |
7,00 |
31/dec/2025 |
22/mei/2024 |
- |
11,17 |
11,17 |
346,62 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
IE000HR61W43 |
QMM Actively Managed Global High Yield Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-1,26 |
6,36 |
- |
- |
- |
7,53 |
31/mrt/2026 |
6,36 |
- |
- |
- |
- |
31/mrt/2026 |
-1,26 |
0,41 |
- |
- |
- |
15,08 |
31/mrt/2026 |
- |
- |
- |
- |
8,86 |
31/dec/2025 |
23/apr/2024 |
16.819.648,97 |
11,69 |
11,69 |
269,99 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000S80P4R0 |
QMM - Actively Managed Global Investment Grade Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,53 |
4,65 |
- |
- |
- |
5,76 |
31/mrt/2026 |
4,65 |
- |
- |
- |
- |
31/mrt/2026 |
-0,53 |
0,43 |
- |
- |
- |
10,96 |
31/mrt/2026 |
- |
- |
- |
- |
6,98 |
31/dec/2025 |
22/mei/2024 |
75.954,16 |
10,32 |
10,32 |
346,62 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE00085W7AY6 |
QMM Actively Managed Global High Yield Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-1,66 |
4,08 |
- |
- |
- |
5,56 |
31/mrt/2026 |
4,08 |
- |
- |
- |
- |
31/mrt/2026 |
-1,66 |
-0,51 |
- |
- |
- |
11,05 |
31/mrt/2026 |
- |
- |
- |
- |
6,49 |
31/dec/2025 |
23/apr/2024 |
135.292.384,51 |
11,26 |
11,26 |
269,99 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE0007IUD653 |
QMM Actively Managed Global High Yield Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-1,23 |
6,59 |
- |
- |
- |
7,70 |
31/mrt/2026 |
6,59 |
- |
- |
- |
- |
31/mrt/2026 |
-1,23 |
0,47 |
- |
- |
- |
15,45 |
31/mrt/2026 |
- |
- |
- |
- |
8,99 |
31/dec/2025 |
23/apr/2024 |
1.012.171,02 |
11,73 |
11,73 |
269,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE0003FZG5A3 |
QMM Actively Managed Global High Yield Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-1,66 |
4,09 |
- |
- |
- |
5,57 |
31/mrt/2026 |
4,09 |
- |
- |
- |
- |
31/mrt/2026 |
-1,66 |
-0,51 |
- |
- |
- |
11,07 |
31/mrt/2026 |
- |
- |
- |
- |
6,50 |
31/dec/2025 |
23/apr/2024 |
37.365.152,26 |
9,98 |
9,98 |
269,99 |
30/apr/2026 |
Distributie |
| - |
USD |
IE000J55LXH9 |
QMM Actively Managed Global High Yield Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-1,24 |
6,29 |
- |
- |
- |
7,60 |
31/mrt/2026 |
6,29 |
- |
- |
- |
- |
31/mrt/2026 |
-1,24 |
0,50 |
- |
- |
- |
15,24 |
31/mrt/2026 |
- |
- |
- |
- |
8,71 |
31/dec/2025 |
23/apr/2024 |
1.035,21 |
10,36 |
10,36 |
269,99 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000N0WGY67 |
QMM Actively Managed Global High Yield Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-1,25 |
6,33 |
- |
- |
- |
7,51 |
31/mrt/2026 |
6,33 |
- |
- |
- |
- |
31/mrt/2026 |
-1,25 |
0,42 |
- |
- |
- |
15,05 |
31/mrt/2026 |
- |
- |
- |
- |
8,79 |
31/dec/2025 |
23/apr/2024 |
66.461.225,35 |
10,36 |
10,36 |
269,99 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000R3U28Q9 |
QMM - Actively Managed Global Investment Grade Corporate Bond Fund |
BlackRock Asset Management Ireland Limited |
-0,56 |
4,44 |
- |
- |
- |
5,60 |
31/mrt/2026 |
4,44 |
- |
- |
- |
- |
31/mrt/2026 |
-0,56 |
0,37 |
- |
- |
- |
10,65 |
31/mrt/2026 |
- |
- |
- |
- |
6,80 |
31/dec/2025 |
22/mei/2024 |
52.405.026,73 |
10,29 |
10,29 |
346,62 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2740448530 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2027 (1) |
BlackRock (Luxembourg) S.A. |
-0,19 |
2,19 |
- |
- |
- |
3,65 |
31/mrt/2026 |
2,19 |
- |
- |
- |
- |
31/mrt/2026 |
-0,19 |
0,37 |
- |
- |
- |
7,40 |
31/mrt/2026 |
- |
- |
- |
- |
3,06 |
31/dec/2025 |
04/apr/2024 |
1.901.442,22 |
10,79 |
- |
90,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2740448456 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2027 (1) |
BlackRock (Luxembourg) S.A. |
-0,20 |
2,12 |
- |
- |
- |
3,66 |
31/mrt/2026 |
2,12 |
- |
- |
- |
- |
31/mrt/2026 |
-0,20 |
0,42 |
- |
- |
- |
7,40 |
31/mrt/2026 |
- |
- |
- |
- |
3,07 |
31/dec/2025 |
04/apr/2024 |
809.651,27 |
10,12 |
- |
90,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2740450437 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2027 (1) |
BlackRock (Luxembourg) S.A. |
-0,26 |
1,87 |
- |
- |
- |
3,35 |
31/mrt/2026 |
1,87 |
- |
- |
- |
- |
31/mrt/2026 |
-0,26 |
0,20 |
- |
- |
- |
6,77 |
31/mrt/2026 |
- |
- |
- |
- |
2,81 |
31/dec/2025 |
04/apr/2024 |
8.353.167,17 |
10,12 |
- |
90,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2740450197 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2027 (1) |
BlackRock (Luxembourg) S.A. |
-0,28 |
1,53 |
- |
- |
- |
2,92 |
31/mrt/2026 |
1,53 |
- |
- |
- |
- |
31/mrt/2026 |
-0,28 |
0,00 |
- |
- |
- |
5,90 |
31/mrt/2026 |
- |
- |
- |
- |
2,31 |
31/dec/2025 |
04/apr/2024 |
27.709.445,74 |
10,63 |
- |
90,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2740449934 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2027 (1) |
BlackRock (Luxembourg) S.A. |
-0,26 |
1,56 |
- |
- |
- |
2,99 |
31/mrt/2026 |
1,56 |
- |
- |
- |
- |
31/mrt/2026 |
-0,26 |
0,10 |
- |
- |
- |
6,04 |
31/mrt/2026 |
- |
- |
- |
- |
2,39 |
31/dec/2025 |
04/apr/2024 |
28.684.929,10 |
10,12 |
- |
90,18 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2748853863 |
BGF Global Listed Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
10,13 |
20,75 |
- |
- |
- |
19,93 |
31/mrt/2026 |
20,75 |
17,81 |
- |
- |
- |
31/mrt/2026 |
10,13 |
11,38 |
- |
- |
- |
47,80 |
31/mrt/2026 |
- |
- |
- |
- |
16,49 |
31/dec/2025 |
06/feb/2024 |
7.621,65 |
15,24 |
- |
52,44 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2741325588 |
BGF Global Listed Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
9,98 |
20,26 |
- |
- |
- |
19,47 |
31/mrt/2026 |
20,26 |
17,32 |
- |
- |
- |
31/mrt/2026 |
9,98 |
11,14 |
- |
- |
- |
46,60 |
31/mrt/2026 |
- |
- |
- |
- |
16,12 |
31/dec/2025 |
06/feb/2024 |
7.557,48 |
15,11 |
- |
52,44 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2764262908 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,33 |
12,62 |
- |
- |
- |
-1,50 |
31/mrt/2026 |
12,62 |
-13,73 |
- |
- |
- |
31/mrt/2026 |
-7,33 |
-5,87 |
- |
- |
- |
-3,08 |
31/mrt/2026 |
- |
- |
- |
- |
10,19 |
31/dec/2025 |
07/mrt/2024 |
67.094,64 |
112,74 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU2764263203 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,55 |
11,14 |
- |
- |
- |
-2,91 |
31/mrt/2026 |
11,14 |
-15,00 |
- |
- |
- |
31/mrt/2026 |
-7,55 |
-6,53 |
- |
- |
- |
-5,92 |
31/mrt/2026 |
- |
- |
- |
- |
8,71 |
31/dec/2025 |
07/mrt/2024 |
39.314,53 |
109,22 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2764263039 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
-7,70 |
10,89 |
- |
- |
- |
-2,60 |
31/mrt/2026 |
10,89 |
-14,34 |
- |
- |
- |
31/mrt/2026 |
-7,70 |
-6,79 |
- |
- |
- |
-5,30 |
31/mrt/2026 |
- |
- |
- |
- |
8,69 |
31/dec/2025 |
07/mrt/2024 |
2.741.539,54 |
11,01 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2776001021 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,72 |
-0,19 |
- |
- |
- |
1,30 |
31/mrt/2026 |
-0,19 |
- |
- |
- |
- |
31/mrt/2026 |
-1,72 |
-1,82 |
- |
- |
- |
2,60 |
31/mrt/2026 |
- |
- |
- |
- |
1,95 |
31/dec/2025 |
03/apr/2024 |
6.938,56 |
10,29 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2776000999 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-2,39 |
0,95 |
- |
- |
- |
3,16 |
31/mrt/2026 |
0,95 |
- |
- |
- |
- |
31/mrt/2026 |
-2,39 |
-2,21 |
- |
- |
- |
6,40 |
31/mrt/2026 |
- |
- |
- |
- |
5,21 |
31/dec/2025 |
03/apr/2024 |
7.302,71 |
10,83 |
- |
851,79 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2776001294 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
-0,76 |
1,16 |
- |
- |
- |
2,38 |
31/mrt/2026 |
1,16 |
- |
- |
- |
- |
31/mrt/2026 |
-0,76 |
-0,29 |
- |
- |
- |
4,80 |
31/mrt/2026 |
- |
- |
- |
- |
2,92 |
31/dec/2025 |
03/apr/2024 |
7.080,82 |
10,50 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU2796517071 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,96 |
7,62 |
- |
- |
- |
6,66 |
31/mrt/2026 |
7,62 |
- |
- |
- |
- |
31/mrt/2026 |
-0,96 |
-0,44 |
- |
- |
- |
13,00 |
31/mrt/2026 |
- |
- |
- |
- |
7,84 |
31/dec/2025 |
08/mei/2024 |
592.136.839,61 |
1.199,00 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2798994666 |
BGF European High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,80 |
3,32 |
- |
- |
- |
6,17 |
31/mrt/2026 |
3,32 |
- |
- |
- |
- |
31/mrt/2026 |
-1,80 |
-1,24 |
- |
- |
- |
12,01 |
31/mrt/2026 |
- |
- |
- |
- |
6,41 |
31/dec/2025 |
08/mei/2024 |
13.310.037,37 |
10,62 |
- |
948,98 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2802894696 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
-0,67 |
5,80 |
- |
- |
- |
4,43 |
31/mrt/2026 |
5,80 |
- |
- |
- |
- |
31/mrt/2026 |
-0,67 |
-0,07 |
- |
- |
- |
6,98 |
31/mrt/2026 |
- |
- |
- |
- |
7,32 |
31/dec/2025 |
10/sep/2024 |
238.069.376,77 |
9,97 |
- |
327,31 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2802893615 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
-1,04 |
4,20 |
- |
- |
- |
2,74 |
31/mrt/2026 |
4,20 |
- |
- |
- |
- |
31/mrt/2026 |
-1,04 |
-0,86 |
- |
- |
- |
4,30 |
31/mrt/2026 |
- |
- |
- |
- |
5,61 |
31/dec/2025 |
10/sep/2024 |
306.397,83 |
10,61 |
- |
327,31 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2802893458 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
-0,46 |
6,60 |
- |
- |
- |
5,20 |
31/mrt/2026 |
6,60 |
- |
- |
- |
- |
31/mrt/2026 |
-0,46 |
0,28 |
- |
- |
- |
8,20 |
31/mrt/2026 |
- |
- |
- |
- |
8,05 |
31/dec/2025 |
10/sep/2024 |
3.397.240,51 |
11,02 |
- |
327,31 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2802893375 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
-0,40 |
6,66 |
- |
- |
- |
5,23 |
31/mrt/2026 |
6,66 |
- |
- |
- |
- |
31/mrt/2026 |
-0,40 |
0,28 |
- |
- |
- |
8,25 |
31/mrt/2026 |
- |
- |
- |
- |
7,96 |
31/dec/2025 |
10/sep/2024 |
298.364,09 |
9,98 |
- |
327,31 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2802895073 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
5.563,46 |
10,05 |
- |
327,43 |
11/nov/2024 |
Distributie |
| - |
SEK |
LU2802894852 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
56.873,00 |
100,21 |
- |
327,43 |
11/nov/2024 |
Distributie |
| - |
EUR |
LU2802894779 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
-0,65 |
5,84 |
- |
- |
- |
4,45 |
31/mrt/2026 |
5,84 |
- |
- |
- |
- |
31/mrt/2026 |
-0,65 |
-0,09 |
- |
- |
- |
7,00 |
31/mrt/2026 |
- |
- |
- |
- |
7,27 |
31/dec/2025 |
10/sep/2024 |
74.452.276,19 |
10,89 |
- |
327,31 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2802894423 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
4.698,21 |
9,97 |
- |
327,43 |
11/nov/2024 |
Kapitalisatie |
| - |
SEK |
LU2802894183 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
56.834,57 |
100,14 |
- |
327,43 |
11/nov/2024 |
Distributie |
| - |
CHF |
LU2802895230 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
4.701,31 |
9,98 |
- |
327,43 |
11/nov/2024 |
Distributie |
| - |
EUR |
LU2802892997 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
-0,58 |
6,22 |
- |
- |
- |
4,84 |
31/mrt/2026 |
6,22 |
- |
- |
- |
- |
31/mrt/2026 |
-0,58 |
0,12 |
- |
- |
- |
7,63 |
31/mrt/2026 |
- |
- |
- |
- |
7,74 |
31/dec/2025 |
10/sep/2024 |
4.024.906,73 |
9,97 |
- |
327,31 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2802895156 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
5.563,46 |
10,05 |
- |
327,43 |
11/nov/2024 |
Kapitalisatie |
| - |
CHF |
LU2802893532 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
4.703,62 |
9,99 |
- |
327,43 |
11/nov/2024 |
Distributie |
| - |
CHF |
LU2802894340 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
4.698,21 |
9,97 |
- |
327,43 |
11/nov/2024 |
Distributie |
| - |
CHF |
LU2802895313 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
4.701,26 |
9,98 |
- |
327,43 |
11/nov/2024 |
Kapitalisatie |
| - |
SEK |
LU2802894936 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
56.873,07 |
100,21 |
- |
327,43 |
11/nov/2024 |
Kapitalisatie |
| - |
SEK |
LU2802894266 |
BGF Euro High Yield Fixed Maturity Bond Fund 2027 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
10/sep/2024 |
56.834,57 |
100,14 |
- |
327,43 |
11/nov/2024 |
Kapitalisatie |
| - |
EUR |
LU2812466584 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
1,66 |
-2,61 |
- |
- |
- |
1,45 |
31/mrt/2026 |
-2,61 |
- |
- |
- |
- |
31/mrt/2026 |
1,66 |
2,91 |
- |
- |
- |
2,67 |
31/mrt/2026 |
- |
- |
- |
- |
-6,70 |
31/dec/2025 |
29/mei/2024 |
3.532.916,62 |
13,31 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2810381256 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,04 |
7,34 |
- |
- |
- |
7,32 |
31/mrt/2026 |
7,34 |
- |
- |
- |
- |
31/mrt/2026 |
-1,04 |
0,88 |
- |
- |
- |
14,00 |
31/mrt/2026 |
- |
- |
- |
- |
9,19 |
31/dec/2025 |
22/mei/2024 |
1.893.689,38 |
11,63 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2809353449 |
BGF Global Inflation Linked Bond Fund |
BlackRock (Luxembourg) S.A. |
0,79 |
3,53 |
- |
- |
- |
3,44 |
31/mrt/2026 |
3,53 |
- |
- |
- |
- |
31/mrt/2026 |
0,79 |
1,08 |
- |
- |
- |
6,48 |
31/mrt/2026 |
- |
- |
- |
- |
4,69 |
31/dec/2025 |
22/mei/2024 |
15.091.595,68 |
9,84 |
- |
138,42 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2810381173 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,55 |
5,26 |
- |
- |
- |
5,48 |
31/mrt/2026 |
5,26 |
- |
- |
- |
- |
31/mrt/2026 |
-1,55 |
-0,20 |
- |
- |
- |
10,40 |
31/mrt/2026 |
- |
- |
- |
- |
7,13 |
31/dec/2025 |
22/mei/2024 |
44.390.914,25 |
10,34 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2812466667 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
-5,52 |
7,00 |
- |
- |
- |
-2,28 |
31/mrt/2026 |
7,00 |
- |
- |
- |
- |
31/mrt/2026 |
-5,52 |
-3,93 |
- |
- |
- |
-4,14 |
31/mrt/2026 |
- |
- |
- |
- |
-1,52 |
31/dec/2025 |
29/mei/2024 |
5.076,08 |
9,83 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2845160360 |
BGF Emerging Markets Corporate Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,48 |
4,59 |
- |
- |
- |
5,68 |
31/mrt/2026 |
4,59 |
- |
- |
- |
- |
31/mrt/2026 |
-1,48 |
-0,48 |
- |
- |
- |
9,74 |
31/mrt/2026 |
- |
- |
- |
- |
8,63 |
31/dec/2025 |
24/jul/2024 |
2.207.385,54 |
9,91 |
- |
851,79 |
30/apr/2026 |
Distributie |
| CEB4 |
EUR |
IE000HARJEE2 |
iShares Core FTSE 100 UCITS ETF |
iShares plc |
2,86 |
19,96 |
- |
- |
- |
15,05 |
31/mrt/2026 |
19,96 |
- |
- |
- |
- |
31/mrt/2026 |
2,86 |
9,33 |
- |
- |
- |
25,30 |
31/mrt/2026 |
- |
- |
- |
- |
23,12 |
31/dec/2025 |
21/aug/2024 |
52.181.502,56 |
6,39 |
- |
15.545,74 |
01/mei/2026 |
Kapitalisatie |
| - |
EUR |
LU2875210903 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
78.526.695,63 |
110,40 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875210572 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
6.624.198,18 |
108,04 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875211463 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
10.955,52 |
109,56 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875209996 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
819.884,99 |
110,07 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875211547 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
32.848.408,54 |
108,27 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875210812 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
49.208.609,73 |
107,89 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875211117 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
EUR |
LU2875210499 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
125.185.539,88 |
107,52 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875210655 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
5.231.280,34 |
99,64 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875210143 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
4.036.935,95 |
99,46 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875211034 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
EUR |
LU2875211380 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
10.906,41 |
109,06 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875210226 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
156.272.834,50 |
108,82 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
USD |
LU2872722603 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
5.465,25 |
10,05 |
- |
329,82 |
21/mrt/2025 |
Distributie |
| - |
EUR |
LU2872722355 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,98 |
1,40 |
- |
- |
- |
1,04 |
31/mrt/2026 |
1,40 |
- |
- |
- |
- |
31/mrt/2026 |
-0,98 |
-0,68 |
- |
- |
- |
1,50 |
31/mrt/2026 |
- |
- |
- |
- |
2,81 |
31/dec/2025 |
21/okt/2024 |
41.373.745,07 |
10,22 |
- |
329,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2872723080 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,96 |
1,34 |
- |
- |
- |
1,05 |
31/mrt/2026 |
1,34 |
- |
- |
- |
- |
31/mrt/2026 |
-0,96 |
-0,63 |
- |
- |
- |
1,52 |
31/mrt/2026 |
- |
- |
- |
- |
2,82 |
31/dec/2025 |
21/okt/2024 |
39.725.307,90 |
9,97 |
- |
329,99 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2872722272 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,98 |
1,30 |
- |
- |
- |
1,04 |
31/mrt/2026 |
1,30 |
- |
- |
- |
- |
31/mrt/2026 |
-0,98 |
-0,68 |
- |
- |
- |
1,50 |
31/mrt/2026 |
- |
- |
- |
- |
2,81 |
31/dec/2025 |
21/okt/2024 |
170.632.967,23 |
10,22 |
- |
329,99 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2872721977 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,97 |
1,34 |
- |
- |
- |
1,05 |
31/mrt/2026 |
1,34 |
- |
- |
- |
- |
31/mrt/2026 |
-0,97 |
-0,64 |
- |
- |
- |
1,52 |
31/mrt/2026 |
- |
- |
- |
- |
2,82 |
31/dec/2025 |
21/okt/2024 |
57.130.627,53 |
9,98 |
- |
329,99 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2872721548 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
5.022,36 |
10,04 |
- |
329,82 |
21/mrt/2025 |
Kapitalisatie |
| - |
USD |
LU2872721209 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
5.465,23 |
10,05 |
- |
329,82 |
21/mrt/2025 |
Distributie |
| - |
CHF |
LU2872722439 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
4.642,67 |
9,88 |
- |
329,82 |
21/mrt/2025 |
Distributie |
| - |
USD |
LU2872722785 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
5.492,95 |
10,10 |
- |
329,82 |
21/mrt/2025 |
Kapitalisatie |
| - |
EUR |
LU2872721464 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
4.994,17 |
9,98 |
- |
329,82 |
21/mrt/2025 |
Distributie |
| - |
EUR |
LU2872722868 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,84 |
1,85 |
- |
- |
- |
1,55 |
31/mrt/2026 |
1,85 |
- |
- |
- |
- |
31/mrt/2026 |
-0,84 |
-0,49 |
- |
- |
- |
2,24 |
31/mrt/2026 |
- |
- |
- |
- |
3,32 |
31/dec/2025 |
21/okt/2024 |
4.335.794,47 |
9,99 |
- |
329,99 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU2872722512 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
4.666,62 |
9,93 |
- |
329,82 |
21/mrt/2025 |
Kapitalisatie |
| - |
CHF |
LU2872723163 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
4.642,75 |
9,88 |
- |
329,82 |
21/mrt/2025 |
Distributie |
| - |
CHF |
LU2872722199 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-1,29 |
-0,10 |
- |
- |
- |
-0,49 |
31/mrt/2026 |
-0,10 |
- |
- |
- |
- |
31/mrt/2026 |
-1,29 |
-1,39 |
- |
- |
- |
-0,70 |
31/mrt/2026 |
- |
- |
- |
- |
1,21 |
31/dec/2025 |
21/okt/2024 |
2.011.916,36 |
9,98 |
- |
329,99 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2872721381 |
BGF Euro Investment Grade Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
21/okt/2024 |
5.497,90 |
10,11 |
- |
329,82 |
21/mrt/2025 |
Kapitalisatie |
| - |
EUR |
LU2875203106 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
1.478.654,27 |
112,75 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875203015 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
37.917.170,82 |
113,21 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875202983 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
41.748,78 |
113,74 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875203445 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/aug/2025 |
- |
- |
- |
237,17 |
- |
Kapitalisatie |
| - |
EUR |
LU2875203791 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/aug/2025 |
- |
- |
- |
237,17 |
- |
Kapitalisatie |
| - |
EUR |
LU2875204179 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
28/feb/2025 |
- |
- |
- |
237,17 |
- |
Kapitalisatie |
| - |
EUR |
LU2875204096 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/aug/2025 |
- |
- |
- |
237,17 |
- |
Kapitalisatie |
| - |
EUR |
LU2885244835 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-3,07 |
12,68 |
- |
- |
- |
4,89 |
31/mrt/2026 |
12,68 |
- |
- |
- |
- |
31/mrt/2026 |
-3,07 |
0,94 |
- |
- |
- |
7,50 |
31/mrt/2026 |
- |
- |
- |
- |
11,01 |
31/dec/2025 |
25/sep/2024 |
43.922.413,28 |
11,66 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2885245212 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,35 |
5,24 |
- |
- |
- |
1,64 |
31/mrt/2026 |
5,24 |
- |
- |
- |
- |
31/mrt/2026 |
-1,35 |
0,59 |
- |
- |
- |
2,50 |
31/mrt/2026 |
- |
- |
- |
- |
6,35 |
31/dec/2025 |
25/sep/2024 |
6.298.931,32 |
10,53 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2882335602 |
BSF Asia Pacific Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
-2,21 |
-0,03 |
- |
- |
- |
-0,35 |
31/mrt/2026 |
-0,03 |
- |
- |
- |
- |
31/mrt/2026 |
-2,21 |
-6,05 |
- |
- |
- |
-0,53 |
31/mrt/2026 |
- |
- |
- |
- |
5,22 |
31/dec/2025 |
18/sep/2024 |
- |
105,25 |
- |
41,91 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2885245055 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-1,96 |
8,02 |
- |
- |
- |
3,34 |
31/mrt/2026 |
8,02 |
- |
- |
- |
- |
31/mrt/2026 |
-1,96 |
0,67 |
- |
- |
- |
5,10 |
31/mrt/2026 |
- |
- |
- |
- |
8,06 |
31/dec/2025 |
25/sep/2024 |
38.872.105,07 |
11,00 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2875203528 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
18.871.165,34 |
113,98 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875203874 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/aug/2025 |
21.897.598,35 |
104,05 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2875203957 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/aug/2025 |
2.631.869,92 |
101,23 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2894863567 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
28/feb/2025 |
724.329,10 |
104,71 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2885245139 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,45 |
4,83 |
- |
- |
- |
1,32 |
31/mrt/2026 |
4,83 |
- |
- |
- |
- |
31/mrt/2026 |
-1,45 |
0,39 |
- |
- |
- |
2,00 |
31/mrt/2026 |
- |
- |
- |
- |
6,04 |
31/dec/2025 |
25/sep/2024 |
4.703,68 |
10,48 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2885244918 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-2,06 |
7,61 |
- |
- |
- |
3,08 |
31/mrt/2026 |
7,61 |
- |
- |
- |
- |
31/mrt/2026 |
-2,06 |
0,58 |
- |
- |
- |
4,70 |
31/mrt/2026 |
- |
- |
- |
- |
7,76 |
31/dec/2025 |
25/sep/2024 |
4.917,99 |
10,96 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2875203361 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/aug/2025 |
- |
- |
- |
237,17 |
- |
Kapitalisatie |
| - |
EUR |
LU2885244751 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-2,99 |
12,49 |
- |
- |
- |
4,70 |
31/mrt/2026 |
12,49 |
- |
- |
- |
- |
31/mrt/2026 |
-2,99 |
0,94 |
- |
- |
- |
7,20 |
31/mrt/2026 |
- |
- |
- |
- |
10,72 |
31/dec/2025 |
25/sep/2024 |
5.210,38 |
11,61 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU2896486664 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,03 |
3,73 |
- |
- |
- |
3,90 |
31/mrt/2026 |
3,73 |
- |
- |
- |
- |
31/mrt/2026 |
-1,03 |
0,09 |
- |
- |
- |
5,80 |
31/mrt/2026 |
- |
- |
- |
- |
6,79 |
31/dec/2025 |
09/okt/2024 |
4.104,95 |
10,74 |
- |
316,97 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2894169353 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
GBP |
LU2894169197 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
GBP |
LU2894169270 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
USD |
LU2894169437 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
1.983.271,57 |
104,50 |
- |
466,83 |
31/mrt/2026 |
Kapitalisatie |
| - |
EUR |
LU2903325160 |
BGF Global Listed Infrastructure Fund |
BlackRock (Luxembourg) S.A. |
12,11 |
13,60 |
- |
- |
- |
8,16 |
31/mrt/2026 |
13,60 |
- |
- |
- |
- |
31/mrt/2026 |
12,11 |
13,48 |
- |
- |
- |
11,10 |
31/mrt/2026 |
- |
- |
- |
- |
3,45 |
31/dec/2025 |
27/nov/2024 |
3.478.530,88 |
11,30 |
- |
52,44 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU2903325087 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,57 |
5,41 |
- |
- |
- |
4,17 |
31/mrt/2026 |
5,41 |
- |
- |
- |
- |
31/mrt/2026 |
-1,57 |
-0,20 |
- |
- |
- |
6,04 |
31/mrt/2026 |
- |
- |
- |
- |
7,30 |
31/dec/2025 |
23/okt/2024 |
6.112.712,36 |
10,24 |
- |
2.845,55 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2909759057 |
BGF Systematic China A-Share Opportunities Fund |
BlackRock (Luxembourg) S.A. |
0,59 |
12,02 |
- |
- |
- |
6,94 |
31/mrt/2026 |
12,02 |
- |
- |
- |
- |
31/mrt/2026 |
0,59 |
2,05 |
- |
- |
- |
9,85 |
31/mrt/2026 |
- |
- |
- |
- |
9,71 |
31/dec/2025 |
06/nov/2024 |
57.145,24 |
12,97 |
- |
946,18 |
29/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2871778101 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-5,33 |
48,87 |
- |
- |
- |
8,90 |
31/mrt/2026 |
48,87 |
- |
- |
- |
- |
31/mrt/2026 |
-5,33 |
-4,28 |
- |
- |
- |
11,80 |
31/mrt/2026 |
- |
- |
- |
- |
22,89 |
31/dec/2025 |
09/dec/2024 |
19.453.995,59 |
14,74 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2871778366 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-6,11 |
44,04 |
- |
- |
- |
5,76 |
31/mrt/2026 |
44,04 |
- |
- |
- |
- |
31/mrt/2026 |
-6,11 |
-5,78 |
- |
- |
- |
7,60 |
31/mrt/2026 |
- |
- |
- |
- |
19,38 |
31/dec/2025 |
09/dec/2024 |
9.512,15 |
14,16 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2871778879 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-5,12 |
50,07 |
- |
- |
- |
9,79 |
31/mrt/2026 |
50,07 |
- |
- |
- |
- |
31/mrt/2026 |
-5,12 |
-3,91 |
- |
- |
- |
13,00 |
31/mrt/2026 |
- |
- |
- |
- |
23,80 |
31/dec/2025 |
09/dec/2024 |
7.456.903,70 |
14,91 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2871778283 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-5,68 |
46,25 |
- |
- |
- |
7,28 |
31/mrt/2026 |
46,25 |
- |
- |
- |
- |
31/mrt/2026 |
-5,68 |
-4,84 |
- |
- |
- |
9,63 |
31/mrt/2026 |
- |
- |
- |
- |
20,92 |
31/dec/2025 |
09/dec/2024 |
9.992.120,35 |
144,39 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2871778440 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-3,77 |
39,63 |
- |
- |
- |
1,94 |
31/mrt/2026 |
39,63 |
- |
- |
- |
- |
31/mrt/2026 |
-3,77 |
-2,61 |
- |
- |
- |
2,54 |
31/mrt/2026 |
- |
- |
- |
- |
8,75 |
31/dec/2025 |
09/dec/2024 |
2.659.599,29 |
12,61 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU2871779091 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-5,97 |
45,13 |
- |
- |
- |
6,58 |
31/mrt/2026 |
45,13 |
- |
- |
- |
- |
31/mrt/2026 |
-5,97 |
-5,48 |
- |
- |
- |
8,70 |
31/mrt/2026 |
- |
- |
- |
- |
20,42 |
31/dec/2025 |
09/dec/2024 |
9.621,04 |
14,32 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU2871779257 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-5,49 |
47,45 |
- |
- |
- |
8,16 |
31/mrt/2026 |
47,45 |
- |
- |
- |
- |
31/mrt/2026 |
-5,49 |
-4,46 |
- |
- |
- |
10,81 |
31/mrt/2026 |
- |
- |
- |
- |
21,92 |
31/dec/2025 |
09/dec/2024 |
58.695,64 |
146,05 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2871779414 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-3,78 |
38,83 |
- |
- |
- |
1,45 |
31/mrt/2026 |
38,83 |
- |
- |
- |
- |
31/mrt/2026 |
-3,78 |
-2,86 |
- |
- |
- |
1,90 |
31/mrt/2026 |
- |
- |
- |
- |
8,06 |
31/dec/2025 |
09/dec/2024 |
1.061.740,54 |
13,25 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2877908561 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-3,53 |
41,03 |
- |
- |
- |
3,06 |
31/mrt/2026 |
41,03 |
- |
- |
- |
- |
31/mrt/2026 |
-3,53 |
-2,09 |
- |
- |
- |
4,02 |
31/mrt/2026 |
- |
- |
- |
- |
9,92 |
31/dec/2025 |
09/dec/2024 |
6.433,79 |
12,80 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2877908488 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
-5,10 |
50,60 |
- |
- |
- |
10,09 |
31/mrt/2026 |
50,60 |
- |
- |
- |
- |
31/mrt/2026 |
-5,10 |
-3,74 |
- |
- |
- |
13,40 |
31/mrt/2026 |
- |
- |
- |
- |
24,22 |
31/dec/2025 |
09/dec/2024 |
774.716,35 |
14,97 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2917545464 |
BSF Systematic World Equity Fund |
BlackRock (Luxembourg) S.A. |
-3,13 |
12,17 |
- |
- |
- |
3,41 |
31/mrt/2026 |
12,17 |
- |
- |
- |
- |
31/mrt/2026 |
-3,13 |
1,12 |
- |
- |
- |
4,74 |
31/mrt/2026 |
- |
- |
- |
- |
6,97 |
31/dec/2025 |
13/nov/2024 |
- |
112,89 |
- |
2.837,20 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2927560891 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,46 |
10,05 |
- |
- |
- |
4,75 |
31/mrt/2026 |
10,05 |
- |
- |
- |
- |
31/mrt/2026 |
-2,46 |
-0,22 |
- |
- |
- |
6,42 |
31/mrt/2026 |
- |
- |
- |
- |
11,74 |
31/dec/2025 |
27/nov/2024 |
5.108,15 |
10,22 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU2927560545 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,19 |
11,74 |
- |
- |
- |
6,63 |
31/mrt/2026 |
11,74 |
- |
- |
- |
- |
31/mrt/2026 |
-2,19 |
0,65 |
- |
- |
- |
8,99 |
31/mrt/2026 |
- |
- |
- |
- |
13,92 |
31/dec/2025 |
27/nov/2024 |
4.664.054,83 |
101,51 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU2931904705 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
1,64 |
28,94 |
- |
- |
- |
17,88 |
31/mrt/2026 |
28,94 |
- |
- |
- |
- |
31/mrt/2026 |
1,64 |
10,59 |
- |
- |
- |
24,30 |
31/mrt/2026 |
- |
- |
- |
- |
18,97 |
31/dec/2025 |
04/dec/2024 |
8.797,85 |
13,05 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2943721568 |
BGF Global Bond Income Fund |
BlackRock (Luxembourg) S.A. |
-0,95 |
4,68 |
- |
- |
- |
5,20 |
31/mrt/2026 |
4,68 |
- |
- |
- |
- |
31/mrt/2026 |
-0,95 |
0,29 |
- |
- |
- |
6,42 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
08/jan/2025 |
4.959,42 |
9,92 |
- |
195,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU2943721485 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-3,69 |
15,60 |
- |
- |
- |
11,35 |
31/mrt/2026 |
15,60 |
- |
- |
- |
- |
31/mrt/2026 |
-3,69 |
-0,38 |
- |
- |
- |
14,11 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
08/jan/2025 |
1.843.717,86 |
11,14 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
USD |
IE000723PMH5 |
BlackRock Advantage World Equity Fund |
BlackRock Asset Management Ireland Limited |
-2,07 |
24,19 |
- |
- |
- |
15,48 |
31/mrt/2026 |
24,19 |
- |
- |
- |
- |
31/mrt/2026 |
-2,07 |
2,35 |
- |
- |
- |
20,19 |
31/mrt/2026 |
- |
- |
- |
- |
22,49 |
31/dec/2025 |
20/dec/2024 |
17.950.265,16 |
133,69 |
133,69 |
1.224,03 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000NCJT1M0 |
BlackRock Advantage World Equity Fund |
BlackRock Asset Management Ireland Limited |
-2,07 |
24,19 |
- |
- |
- |
15,48 |
31/mrt/2026 |
24,19 |
- |
- |
- |
- |
31/mrt/2026 |
-2,07 |
2,35 |
- |
- |
- |
20,19 |
31/mrt/2026 |
- |
- |
- |
- |
22,49 |
31/dec/2025 |
20/dec/2024 |
24.079.809,19 |
131,04 |
131,04 |
1.224,03 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000RWQ8FF3 |
BlackRock Advantage World Equity Fund |
BlackRock Asset Management Ireland Limited |
-2,63 |
20,68 |
- |
- |
- |
12,62 |
31/mrt/2026 |
20,68 |
- |
- |
- |
- |
31/mrt/2026 |
-2,63 |
1,17 |
- |
- |
- |
16,40 |
31/mrt/2026 |
- |
- |
- |
- |
19,37 |
31/dec/2025 |
20/dec/2024 |
6.170,74 |
129,20 |
129,20 |
1.224,03 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000V9MQF23 |
BlackRock Advantage World Equity Fund |
BlackRock Asset Management Ireland Limited |
-0,18 |
16,43 |
- |
- |
- |
6,56 |
31/mrt/2026 |
16,43 |
- |
- |
- |
- |
31/mrt/2026 |
-0,18 |
4,37 |
- |
- |
- |
8,46 |
31/mrt/2026 |
- |
- |
- |
- |
8,00 |
31/dec/2025 |
20/dec/2024 |
49.514.584,07 |
118,50 |
118,50 |
1.224,03 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000IXLFKE0 |
BlackRock Advantage World Equity Fund |
BlackRock Asset Management Ireland Limited |
-0,18 |
16,42 |
- |
- |
- |
6,56 |
31/mrt/2026 |
16,42 |
- |
- |
- |
- |
31/mrt/2026 |
-0,18 |
4,37 |
- |
- |
- |
8,45 |
31/mrt/2026 |
- |
- |
- |
- |
7,99 |
31/dec/2025 |
20/dec/2024 |
5.541,43 |
116,03 |
116,03 |
1.224,03 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000EISB6C4 |
BlackRock Advantage World Equity Fund |
BlackRock Asset Management Ireland Limited |
-0,12 |
21,54 |
- |
- |
- |
11,01 |
31/mrt/2026 |
21,54 |
- |
- |
- |
- |
31/mrt/2026 |
-0,12 |
4,48 |
- |
- |
- |
14,28 |
31/mrt/2026 |
- |
- |
- |
- |
14,04 |
31/dec/2025 |
20/dec/2024 |
4.760,48 |
120,79 |
120,79 |
1.224,03 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE0005PBBU81 |
BlackRock Global Unconstrained Equity Fund |
BlackRock Asset Management Ireland Limited |
-7,75 |
12,14 |
- |
- |
- |
0,24 |
31/mrt/2026 |
12,14 |
- |
- |
- |
- |
31/mrt/2026 |
-7,75 |
-6,63 |
- |
- |
- |
0,30 |
31/mrt/2026 |
- |
- |
- |
- |
10,88 |
31/dec/2025 |
19/dec/2024 |
5.628,34 |
118,19 |
118,19 |
4.330,97 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000AZOODG8 |
BlackRock Global Unconstrained Equity Fund |
BlackRock Asset Management Ireland Limited |
-5,46 |
8,05 |
- |
- |
- |
-5,35 |
31/mrt/2026 |
8,05 |
- |
- |
- |
- |
31/mrt/2026 |
-5,46 |
-3,71 |
- |
- |
- |
-6,80 |
31/mrt/2026 |
- |
- |
- |
- |
0,26 |
31/dec/2025 |
19/dec/2024 |
5.124,90 |
107,62 |
107,62 |
4.330,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000WYAQXR4 |
iShares Euro Long Duration Government Bond Index Fund (IE) |
BlackRock Asset Management Ireland Limited |
1,27 |
-3,21 |
- |
- |
- |
-3,11 |
31/mrt/2026 |
-3,21 |
- |
- |
- |
- |
31/mrt/2026 |
1,27 |
-0,70 |
- |
- |
- |
-3,18 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
21/mrt/2025 |
1.133.137.293,30 |
9,63 |
9,63 |
1.139,47 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000XHDJXE4 |
iShares Euro Long Duration Government Bond Index Fund (IE) |
BlackRock Asset Management Ireland Limited |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/okt/2025 |
6.331.657,72 |
9,95 |
9,95 |
1.139,47 |
30/apr/2026 |
Kapitalisatie |
| BGDHIA2 |
EUR |
LU2943721642 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-0,82 |
3,17 |
- |
- |
- |
-2,05 |
31/mrt/2026 |
3,17 |
- |
- |
- |
- |
31/mrt/2026 |
-0,82 |
1,52 |
- |
- |
- |
-2,51 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
08/jan/2025 |
4.862,93 |
12,50 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU2940471407 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,72 |
10,11 |
- |
- |
- |
3,75 |
31/mrt/2026 |
10,11 |
- |
- |
- |
- |
31/mrt/2026 |
-4,72 |
-2,56 |
- |
- |
- |
4,84 |
31/mrt/2026 |
- |
- |
- |
- |
12,51 |
31/dec/2025 |
18/dec/2024 |
325.718.268,24 |
1.056,00 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2940471233 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
-4,72 |
10,19 |
- |
- |
- |
3,80 |
31/mrt/2026 |
10,19 |
- |
- |
- |
- |
31/mrt/2026 |
-4,72 |
-2,51 |
- |
- |
- |
4,90 |
31/mrt/2026 |
- |
- |
- |
- |
12,58 |
31/dec/2025 |
18/dec/2024 |
1.048.448.856,39 |
1.114,00 |
- |
18.136,88 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000DZF5A38 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,27 |
21,65 |
- |
- |
- |
11,39 |
31/mrt/2026 |
21,65 |
- |
- |
- |
- |
31/mrt/2026 |
-6,27 |
-1,38 |
- |
- |
- |
13,96 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
14/jan/2025 |
488.211.474,67 |
128,09 |
128,09 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2944931828 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,91 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
2,91 |
4,88 |
- |
- |
- |
13,78 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
23/apr/2025 |
- |
116,19 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU2944932040 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
2,91 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
2,91 |
4,89 |
- |
- |
- |
13,99 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
23/apr/2025 |
- |
116,41 |
- |
750,67 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2944932123 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
4,67 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
4,67 |
6,69 |
- |
- |
- |
12,08 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
23/apr/2025 |
- |
112,89 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2944932396 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
4,67 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
4,67 |
6,69 |
- |
- |
- |
12,08 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
23/apr/2025 |
- |
112,89 |
- |
750,67 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU2944932479 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
4,25 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
4,25 |
6,33 |
- |
- |
- |
14,19 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
23/apr/2025 |
- |
114,38 |
- |
750,67 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000W7C2M49 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,46 |
14,05 |
- |
- |
- |
1,50 |
31/mrt/2026 |
14,05 |
- |
- |
- |
- |
31/mrt/2026 |
-4,46 |
0,57 |
- |
- |
- |
1,82 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
14/jan/2025 |
76.213.111,90 |
112,41 |
112,41 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE000DEYI8Z1 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,27 |
21,66 |
- |
- |
- |
11,40 |
31/mrt/2026 |
21,66 |
- |
- |
- |
- |
31/mrt/2026 |
-6,27 |
-1,38 |
- |
- |
- |
13,96 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
14/jan/2025 |
6.361,47 |
127,23 |
127,23 |
3.367,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE00083ZAJC0 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,46 |
14,06 |
- |
- |
- |
1,50 |
31/mrt/2026 |
14,06 |
- |
- |
- |
- |
31/mrt/2026 |
-4,46 |
0,57 |
- |
- |
- |
1,82 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
14/jan/2025 |
5.446,33 |
111,65 |
111,65 |
3.367,18 |
30/apr/2026 |
Distributie |
| - |
GBP |
IE000FT58J45 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,39 |
19,08 |
- |
- |
- |
4,47 |
31/mrt/2026 |
19,08 |
- |
- |
- |
- |
31/mrt/2026 |
-4,39 |
0,68 |
- |
- |
- |
5,44 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
14/jan/2025 |
4.669,67 |
114,23 |
114,23 |
3.367,18 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE00081VSP07 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-4,54 |
13,66 |
- |
- |
- |
1,15 |
31/mrt/2026 |
13,66 |
- |
- |
- |
- |
31/mrt/2026 |
-4,54 |
0,39 |
- |
- |
- |
1,39 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
14/jan/2025 |
57.909,24 |
111,91 |
111,91 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
IE000Q36NJ60 |
BlackRock Advantage US Equity Fund |
BlackRock Asset Management Ireland Limited |
-6,76 |
18,56 |
- |
- |
- |
8,84 |
31/mrt/2026 |
18,56 |
- |
- |
- |
- |
31/mrt/2026 |
-6,76 |
-2,46 |
- |
- |
- |
10,80 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
14/jan/2025 |
28.492.515,09 |
124,28 |
124,28 |
3.367,18 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2948472191 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,91 |
6,10 |
- |
- |
- |
5,54 |
31/mrt/2026 |
6,10 |
- |
- |
- |
- |
31/mrt/2026 |
-0,91 |
-0,11 |
- |
- |
- |
6,10 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
25/feb/2025 |
1.366.702,39 |
10,18 |
- |
134,78 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2948472357 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-1,01 |
5,64 |
- |
- |
- |
5,13 |
31/mrt/2026 |
5,64 |
- |
- |
- |
- |
31/mrt/2026 |
-1,01 |
-0,31 |
- |
- |
- |
5,64 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
25/feb/2025 |
85.781.830,04 |
10,18 |
- |
134,78 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2948472274 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-1,03 |
5,60 |
- |
- |
- |
5,09 |
31/mrt/2026 |
5,60 |
- |
- |
- |
- |
31/mrt/2026 |
-1,03 |
-0,38 |
- |
- |
- |
5,60 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
25/feb/2025 |
13.673.995,58 |
10,79 |
- |
134,78 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU2948472605 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2024 |
25/feb/2025 |
4.704,63 |
10,01 |
- |
134,72 |
24/apr/2025 |
Kapitalisatie |
| - |
CHF |
LU2948472787 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2024 |
25/feb/2025 |
4.704,57 |
10,01 |
- |
134,72 |
24/apr/2025 |
Distributie |
| - |
USD |
LU2948473082 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2024 |
25/feb/2025 |
5.264,75 |
10,07 |
- |
134,72 |
24/apr/2025 |
Kapitalisatie |
| - |
USD |
LU2948473165 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2024 |
25/feb/2025 |
5.264,81 |
10,07 |
- |
134,72 |
24/apr/2025 |
Distributie |
| - |
EUR |
LU2948472860 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,84 |
6,29 |
- |
- |
- |
5,82 |
31/mrt/2026 |
6,29 |
- |
- |
- |
- |
31/mrt/2026 |
-0,84 |
0,00 |
- |
- |
- |
6,40 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
25/feb/2025 |
1.153.654,70 |
10,88 |
- |
134,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2948472944 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2024 |
25/feb/2025 |
5.022,87 |
10,05 |
- |
134,72 |
24/apr/2025 |
Distributie |
| - |
EUR |
LU2948471979 |
BGF Euro High Yield Fixed Maturity Bond Fund 2028 |
BlackRock (Luxembourg) S.A. |
-0,84 |
6,10 |
- |
- |
- |
5,55 |
31/mrt/2026 |
6,10 |
- |
- |
- |
- |
31/mrt/2026 |
-0,84 |
-0,09 |
- |
- |
- |
6,10 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
25/feb/2025 |
6.259.107,62 |
10,84 |
- |
134,78 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2970811951 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
25.926.492,20 |
113,02 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
USD |
LU2971648998 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,56 |
9,97 |
- |
- |
- |
5,29 |
31/mrt/2026 |
9,97 |
- |
- |
- |
- |
31/mrt/2026 |
-2,56 |
-0,22 |
- |
- |
- |
5,80 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
26/feb/2025 |
3.404.713,73 |
10,02 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU2971649459 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-2,18 |
11,74 |
- |
- |
- |
7,06 |
31/mrt/2026 |
11,74 |
- |
- |
- |
- |
31/mrt/2026 |
-2,18 |
0,65 |
- |
- |
- |
7,75 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
26/feb/2025 |
2.703.127,25 |
100,12 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU2971650036 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
-3,34 |
5,73 |
- |
- |
- |
1,28 |
31/mrt/2026 |
5,73 |
- |
- |
- |
- |
31/mrt/2026 |
-3,34 |
-2,03 |
- |
- |
- |
1,40 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
26/feb/2025 |
27.926.166,92 |
1.063,00 |
- |
2.949,86 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU2990338993 |
BGF Emerging Markets Impact Bond Fund |
BlackRock (Luxembourg) S.A. |
-1,87 |
2,14 |
- |
- |
- |
1,90 |
31/mrt/2026 |
2,14 |
- |
- |
- |
- |
31/mrt/2026 |
-1,87 |
-1,19 |
- |
- |
- |
2,04 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
05/mrt/2025 |
3.400.783,86 |
10,13 |
- |
84,61 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU2990338720 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
1,47 |
4,52 |
- |
- |
- |
1,32 |
31/mrt/2026 |
4,52 |
- |
- |
- |
- |
31/mrt/2026 |
1,47 |
2,91 |
- |
- |
- |
1,41 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
05/mrt/2025 |
25.233,06 |
9,94 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3000958010 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
-3,07 |
12,54 |
- |
- |
- |
10,08 |
31/mrt/2026 |
12,54 |
- |
- |
- |
- |
31/mrt/2026 |
-3,07 |
0,91 |
- |
- |
- |
10,40 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
19/mrt/2025 |
5.480,07 |
11,97 |
- |
49,37 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3000957715 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
-1,41 |
5,11 |
- |
- |
- |
4,75 |
31/mrt/2026 |
5,11 |
- |
- |
- |
- |
31/mrt/2026 |
-1,41 |
0,48 |
- |
- |
- |
4,90 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
19/mrt/2025 |
4.935,21 |
10,78 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3000957988 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
-2,02 |
7,87 |
- |
- |
- |
6,69 |
31/mrt/2026 |
7,87 |
- |
- |
- |
- |
31/mrt/2026 |
-2,02 |
0,66 |
- |
- |
- |
6,90 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
19/mrt/2025 |
5.121,23 |
11,19 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3011301630 |
BGF World Real Estate Securities Fund |
BlackRock (Luxembourg) S.A. |
1,51 |
0,67 |
- |
- |
- |
0,94 |
31/mrt/2026 |
0,67 |
- |
- |
- |
- |
31/mrt/2026 |
1,51 |
1,42 |
- |
- |
- |
0,97 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
19/mrt/2025 |
62.674,71 |
12,92 |
- |
199,52 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3016634639 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
27.528.283,78 |
114,77 |
- |
237,17 |
31/mrt/2026 |
Kapitalisatie |
| - |
USD |
LU3016981519 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
USD |
LU3016634712 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/sep/2025 |
- |
- |
- |
237,17 |
- |
Kapitalisatie |
| - |
USD |
LU3016981436 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
USD |
LU3016981600 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
USD |
LU3016981782 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
539.212,38 |
107,84 |
- |
466,83 |
31/jan/2026 |
Kapitalisatie |
| - |
USD |
LU3016981865 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
116.824,09 |
111,84 |
- |
466,83 |
31/jan/2026 |
Kapitalisatie |
| - |
USD |
LU3016981949 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
31/mrt/2025 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
GBP |
LU3017369755 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-11,90 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
-11,90 |
-3,72 |
- |
- |
- |
31,12 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
16/apr/2025 |
16.535,32 |
54,58 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3017369839 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
-11,73 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
-11,73 |
-3,34 |
- |
- |
- |
32,05 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
16/apr/2025 |
1.334.357,32 |
62,79 |
- |
2.562,70 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU3030295599 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,60 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
0,60 |
2,42 |
- |
- |
- |
2,54 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
- |
103,28 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU3030295169 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,47 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
1,47 |
4,40 |
- |
- |
- |
6,08 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
- |
107,27 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU3030294949 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,10 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
1,10 |
3,89 |
- |
- |
- |
4,57 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
- |
1.055,18 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU3030295326 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,76 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
0,76 |
2,75 |
- |
- |
- |
3,04 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
- |
10.386,86 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU3030295243 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
0,91 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
0,91 |
3,22 |
- |
- |
- |
4,02 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
- |
1.048,51 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3030295755 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,53 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
1,53 |
4,53 |
- |
- |
- |
6,41 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
- |
107,56 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU3030295672 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
1,16 |
- |
- |
- |
- |
- |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/mrt/2026 |
1,16 |
3,67 |
- |
- |
- |
4,86 |
31/mrt/2026 |
- |
- |
- |
- |
- |
31/dec/2025 |
30/apr/2025 |
- |
105,88 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3044417809 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/mei/2025 |
529.570,24 |
11,03 |
- |
54,44 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU3042763477 |
BGF Dynamic High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/mei/2025 |
9.544.557,17 |
102,34 |
- |
2.949,86 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3051934373 |
BGF US Dollar High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/mei/2025 |
63.236,47 |
38,96 |
- |
2.845,55 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3044347089 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
22.918.003,25 |
10,42 |
- |
629,92 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3044347162 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
15.302.018,65 |
10,03 |
- |
629,92 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3044347329 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
187.134.839,43 |
10,03 |
- |
629,92 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3044347758 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
4.803,46 |
10,26 |
- |
629,39 |
19/sep/2025 |
Kapitalisatie |
| - |
CHF |
LU3044347832 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
4.803,21 |
10,26 |
- |
629,39 |
19/sep/2025 |
Distributie |
| - |
USD |
LU3044348137 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
5.814,08 |
10,42 |
- |
629,39 |
19/sep/2025 |
Kapitalisatie |
| - |
USD |
LU3044348210 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
5.814,18 |
10,42 |
- |
629,39 |
19/sep/2025 |
Distributie |
| - |
EUR |
LU3044347915 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
733.649,35 |
10,44 |
- |
629,92 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3044348053 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
5.169,75 |
10,34 |
- |
629,39 |
19/sep/2025 |
Distributie |
| - |
EUR |
LU3044347246 |
BGF Euro Income Fixed Maturity Bond Fund 2029 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
19/mei/2025 |
275.402.507,92 |
10,37 |
- |
629,92 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3055024726 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/mei/2025 |
- |
105,22 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3054586865 |
BGF Global Unconstrained Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/mei/2025 |
5.082,54 |
9,95 |
- |
124,79 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3069870890 |
BGF Global Smaller Companies Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
12/aug/2025 |
5.349,88 |
10,70 |
- |
10,83 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3069870973 |
BGF Global Smaller Companies Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
12/aug/2025 |
5.378,56 |
10,76 |
- |
10,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3069871351 |
BGF Global Smaller Companies Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
12/aug/2025 |
4.575,97 |
9,15 |
- |
10,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3069871435 |
BGF Global Smaller Companies Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
12/aug/2025 |
4.600,50 |
9,20 |
- |
10,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3069871518 |
BGF Global Smaller Companies Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
12/aug/2025 |
4.559,36 |
10,63 |
- |
10,83 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3083849342 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
02/jul/2025 |
- |
110,40 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3083849425 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
02/jul/2025 |
- |
110,45 |
- |
750,67 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU3083849698 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
02/jul/2025 |
- |
112,24 |
- |
750,67 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3096647444 |
BGF Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
23/jul/2025 |
5.273,28 |
10,55 |
- |
1.542,97 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3096647956 |
BGF US Dollar Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
23/jul/2025 |
4.958,43 |
9,92 |
- |
530,12 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3096646719 |
BGF US Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/jul/2025 |
5.060,00 |
10,12 |
- |
423,21 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3062666758 |
BGF Systematic Islamic GCC Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
14/okt/2025 |
10.137,09 |
9,65 |
- |
19,49 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3062666832 |
BGF Systematic Islamic GCC Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
14/okt/2025 |
4.846,57 |
9,69 |
- |
19,49 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3062667053 |
BGF Systematic Islamic GCC Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
14/okt/2025 |
4.850,54 |
9,70 |
- |
19,49 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3119989195 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
20/aug/2025 |
4.298,97 |
9,76 |
- |
316,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3119989781 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
20/aug/2025 |
4.283,87 |
9,72 |
- |
316,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3119987579 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
20/aug/2025 |
4.316,40 |
9,84 |
- |
316,97 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3119988460 |
BGF Euro Flexible Income Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
20/aug/2025 |
4.301,22 |
9,84 |
- |
316,97 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU3126591588 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
27/aug/2025 |
764.840,49 |
1.037,00 |
- |
747,51 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU3126592396 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
27/aug/2025 |
7.809,70 |
10,15 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU3126592719 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
27/aug/2025 |
88.262,92 |
100,45 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU3126591745 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
27/aug/2025 |
286.486.207,91 |
990,00 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3126592552 |
BGF Systematic Global Income & Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
27/aug/2025 |
1.523.469,03 |
10,02 |
- |
747,51 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3048001195 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/nov/2025 |
6.202.688,69 |
9,97 |
- |
751,26 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3048001278 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/nov/2025 |
355.139.625,89 |
9,94 |
- |
750,24 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3048001351 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/nov/2025 |
300.141.115,95 |
9,94 |
- |
751,26 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3048001609 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/nov/2025 |
4.500,30 |
9,68 |
- |
750,24 |
25/mrt/2026 |
Kapitalisatie |
| - |
CHF |
LU3048001781 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/nov/2025 |
4.500,28 |
9,68 |
- |
750,24 |
25/mrt/2026 |
Distributie |
| - |
EUR |
LU3048001864 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
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|
25/nov/2025 |
188.899,96 |
9,98 |
- |
750,24 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3048001948 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
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25/nov/2025 |
433.820,94 |
9,98 |
- |
751,26 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3048002086 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
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25/nov/2025 |
5.645,25 |
9,82 |
- |
750,24 |
25/mrt/2026 |
Kapitalisatie |
| - |
USD |
LU3048002169 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
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25/nov/2025 |
5.645,17 |
9,82 |
- |
750,24 |
25/mrt/2026 |
Distributie |
| - |
EUR |
LU3048000973 |
BGF Euro Income Fixed Maturity Bond Fund 2030 |
BlackRock (Luxembourg) S.A. |
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|
25/nov/2025 |
23.964.916,36 |
9,97 |
- |
751,26 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU3135082777 |
BGF World Technology Fund |
BlackRock (Luxembourg) S.A. |
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03/sep/2025 |
7.945,79 |
187,84 |
- |
16.289,74 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU3135082264 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
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03/sep/2025 |
12.488.438,51 |
78,12 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU3135082421 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
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03/sep/2025 |
5.515.695,54 |
99,44 |
- |
1.212,22 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3170944428 |
BGF Global Securitised Fund |
BlackRock (Luxembourg) S.A. |
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06/nov/2025 |
4.050,87 |
10,01 |
- |
139,49 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3170944774 |
BGF Global Securitised Fund |
BlackRock (Luxembourg) S.A. |
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06/nov/2025 |
3.912,88 |
10,21 |
- |
139,49 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3170944188 |
BGF Global Securitised Fund |
BlackRock (Luxembourg) S.A. |
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06/nov/2025 |
5.102,31 |
10,20 |
- |
139,49 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3170944261 |
BGF Global Securitised Fund |
BlackRock (Luxembourg) S.A. |
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06/nov/2025 |
5.107,56 |
10,22 |
- |
139,49 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3174767106 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
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08/okt/2025 |
3.509.175,04 |
10,25 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU3174767361 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
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08/okt/2025 |
3.496.002,88 |
102,56 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3183194995 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
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15/okt/2025 |
3.111.406,11 |
9,96 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU3183195299 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
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15/okt/2025 |
38.625.470,29 |
991,00 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU3183195455 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
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15/okt/2025 |
4.413.886,10 |
99,44 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3184966250 |
BGF Diversified Tactical Fund |
BlackRock (Luxembourg) S.A. |
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13/jan/2026 |
5.226,34 |
10,45 |
- |
51,51 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3184966334 |
BGF Diversified Tactical Fund |
BlackRock (Luxembourg) S.A. |
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13/jan/2026 |
5.234,43 |
10,47 |
- |
51,51 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3184966680 |
BGF Diversified Tactical Fund |
BlackRock (Luxembourg) S.A. |
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13/jan/2026 |
4.487,70 |
8,95 |
- |
51,51 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3198989561 |
BGF Asian Multi-Asset Income Fund |
BlackRock (Luxembourg) S.A. |
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29/okt/2025 |
210.777,35 |
10,29 |
- |
652,50 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3198989645 |
BGF World Financials Fund |
BlackRock (Luxembourg) S.A. |
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29/okt/2025 |
837.992,95 |
10,11 |
- |
2.562,70 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3212047594 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
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|
|
26/nov/2025 |
5.414,98 |
10,83 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3212047321 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
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|
|
26/nov/2025 |
11.255,34 |
10,48 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3212047750 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
|
26/nov/2025 |
4.288,18 |
10,62 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3212047677 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
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|
|
26/nov/2025 |
5.298,90 |
10,60 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3212047917 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
|
|
26/nov/2025 |
4.650,82 |
10,49 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3212047834 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
|
|
26/nov/2025 |
4.195,99 |
10,39 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3212048055 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
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|
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|
|
|
|
|
|
26/nov/2025 |
4.650,19 |
10,72 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3212048139 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
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|
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|
|
|
26/nov/2025 |
4.038,80 |
10,58 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3212048485 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
|
|
26/nov/2025 |
4.201,37 |
10,40 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3212048642 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
|
|
|
|
26/nov/2025 |
4.657,15 |
10,74 |
- |
12.779,33 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU3212048212 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
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|
|
|
|
|
26/nov/2025 |
7.766,59 |
10,34 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3212048998 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
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|
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|
|
|
|
26/nov/2025 |
5.304,98 |
10,61 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3212048725 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
|
|
26/nov/2025 |
5.253,82 |
10,51 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3212048303 |
BGF Systematic Global Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
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|
|
|
26/nov/2025 |
5.420,62 |
10,84 |
- |
12.779,33 |
30/apr/2026 |
Distributie |
| - |
EUR |
IE000H9WDZZ3 |
BlackRock Euro Government Bond Fund |
BlackRock Asset Management Ireland Limited |
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|
|
15/dec/2025 |
4.241,95 |
99,74 |
99,74 |
414,51 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
IE0000CEOJL5 |
BlackRock Euro Government Bond Fund |
BlackRock Asset Management Ireland Limited |
|
|
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|
|
|
|
|
|
15/dec/2025 |
5.021,40 |
100,43 |
100,43 |
414,51 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
IE000I5QUIX7 |
BlackRock Euro Government Bond Fund |
BlackRock Asset Management Ireland Limited |
|
|
|
|
|
|
|
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|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
15/dec/2025 |
3.922,04 |
98,87 |
98,87 |
414,51 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
IE000XQI96H4 |
BlackRock Euro Government Bond Fund |
BlackRock Asset Management Ireland Limited |
|
|
|
|
|
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|
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|
|
|
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|
|
|
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|
|
|
|
|
|
|
|
15/dec/2025 |
3.736,62 |
100,39 |
100,39 |
414,51 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU3222513940 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
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|
|
|
|
|
|
|
|
03/dec/2025 |
38.740,08 |
99,48 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU3222514088 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
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|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
03/dec/2025 |
7.639,68 |
10,01 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU3222514245 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
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|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
03/dec/2025 |
35.049,87 |
99,15 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU3222514328 |
BGF Global Allocation Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
03/dec/2025 |
3.770,68 |
9,99 |
- |
18.136,88 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU3227843417 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
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|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
12/dec/2025 |
7.493,77 |
9,95 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
GBP |
LU3227843508 |
BGF China Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
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|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
12/dec/2025 |
3.730,62 |
9,94 |
- |
12.242,05 |
29/apr/2026 |
Distributie |
| - |
SGD |
LU3225976490 |
BGF Global High Yield Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/jan/2026 |
24.144,73 |
9,98 |
- |
1.932,57 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU3225976573 |
BGF ESG Emerging Markets Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/jan/2026 |
24.747,91 |
9,96 |
- |
492,09 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU3225976144 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/jan/2026 |
67.157,58 |
9,86 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU3225976227 |
BGF US Dollar Short Duration Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/jan/2026 |
6.370,66 |
9,95 |
- |
1.212,22 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3221786117 |
BSF BlackRock Systematic Diversified Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
24/feb/2026 |
- |
103,12 |
- |
160,58 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3221786208 |
BSF BlackRock Systematic Diversified Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
24/feb/2026 |
- |
103,18 |
- |
160,58 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3221786620 |
BSF BlackRock Systematic Diversified Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
24/feb/2026 |
- |
103,26 |
- |
160,58 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3221786893 |
BSF BlackRock Systematic Diversified Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
24/feb/2026 |
- |
102,94 |
- |
160,58 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU3221786976 |
BSF BlackRock Systematic Diversified Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
24/feb/2026 |
- |
10.267,03 |
- |
160,58 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU3221786547 |
BSF BlackRock Systematic Diversified Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
24/feb/2026 |
- |
102,61 |
- |
160,58 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3225966426 |
BSF BlackRock Systematic Diversified Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
24/feb/2026 |
- |
103,26 |
- |
160,58 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3236122183 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
14/jan/2026 |
4.912,61 |
9,83 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU3236127224 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
14/jan/2026 |
772.172,80 |
978,00 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
ZAR |
LU3236132810 |
BGF Fixed Income Global Opportunities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
14/jan/2026 |
80.647,68 |
98,51 |
- |
9.378,94 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3233351256 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
5.181,54 |
10,36 |
- |
15,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3233351330 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
5.181,77 |
10,36 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3233351686 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
5.181,77 |
10,36 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3233351413 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
4.421,87 |
10,36 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU3233351769 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
40.572,90 |
103,59 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3233351504 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
4.073,47 |
10,34 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU3233351843 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
7.335,44 |
10,37 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
CNH |
LU3233351926 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
35.340,45 |
103,53 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU3233352064 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
3.848,95 |
10,36 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU3233352148 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
6.598,05 |
10,35 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3233352221 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
5.183,56 |
10,37 |
- |
15,53 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3233352494 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
5.183,56 |
10,37 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3227843680 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
2.886.667,35 |
11,52 |
- |
54,44 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU3227843763 |
BGF AI Innovation Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
7.075.371,57 |
114,95 |
- |
54,44 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3230658539 |
BGF Global Securitised Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
4.220,11 |
10,04 |
- |
139,49 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3230658455 |
BGF Global Securitised Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
4.217,30 |
10,03 |
- |
139,49 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3238193869 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/feb/2026 |
4.983,50 |
9,97 |
- |
846,00 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3230562269 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/mrt/2026 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
EUR |
LU3230562343 |
BlackRock Multi Alternatives Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
- |
- |
- |
466,83 |
- |
Kapitalisatie |
| - |
GBP |
LU3238193604 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/feb/2026 |
3.694,63 |
9,97 |
- |
846,00 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU3238193786 |
BGF Asian Dragon Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
25/feb/2026 |
6.281,48 |
9,92 |
- |
846,00 |
30/apr/2026 |
Kapitalisatie |
| - |
SGD |
LU3225878993 |
BSF BlackRock Systematic Asia Pacific Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
07/jan/2026 |
- |
101,63 |
- |
1.776,56 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3239976080 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
541.858,96 |
12,07 |
- |
2.691,53 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU3227873240 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/jan/2026 |
- |
1.051,86 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU3227873083 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/jan/2026 |
- |
1.054,93 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
USD |
LU3227872275 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/jan/2026 |
- |
104,00 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU3227873323 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/jan/2026 |
- |
10.506,28 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
AUD |
LU3227873166 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/jan/2026 |
- |
106,01 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU3227872515 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
15/apr/2026 |
- |
995,82 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU3227872606 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
15/apr/2026 |
- |
9.954,87 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
HKD |
LU3227873752 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
- |
1.057,87 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU3227872788 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
15/apr/2026 |
- |
99,54 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
USD |
LU3227872861 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/jan/2026 |
- |
104,17 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
SGD |
LU3227872945 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
15/apr/2026 |
- |
99,60 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU3227873836 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
- |
106,20 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
JPY |
LU3227874131 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
- |
10.536,98 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU3227873919 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
- |
1.054,99 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU3227874214 |
BSF Americas Diversified Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
- |
105,24 |
- |
1.817,86 |
30/apr/2026 |
Kapitalisatie |
| - |
CHF |
LU3227873679 |
BSF BlackRock Systematic Global Equity Absolute Return Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
21/jan/2026 |
- |
104,85 |
- |
750,67 |
30/apr/2026 |
Kapitalisatie |
| - |
HKD |
LU3227872358 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
15/apr/2026 |
- |
996,24 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
AUD |
LU3227872432 |
BSF Global Real Asset Securities Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
15/apr/2026 |
- |
99,72 |
- |
1.378,79 |
30/apr/2026 |
Distributie |
| - |
EUR |
LU3230553862 |
BlackRock Private Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
- |
- |
- |
237,17 |
- |
Kapitalisatie |
| - |
EUR |
LU3257579576 |
BGF Japan Flexible Equity Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
28/jan/2026 |
132.297.337,43 |
10,25 |
- |
198.591,42 |
30/apr/2026 |
Kapitalisatie |
| - |
EUR |
LU3263932587 |
BGF World Bond Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
11/feb/2026 |
4.206,30 |
72,12 |
- |
940,52 |
30/apr/2026 |
Kapitalisatie |
| - |
CAD |
LU3293796630 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
7.149,90 |
10,35 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
JPY |
LU3293796713 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
825.860,42 |
1.035,00 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
CHF |
LU3293796804 |
BGF Systematic Nasdaq Equity High Income Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
16/apr/2026 |
4.073,45 |
10,34 |
- |
15,53 |
30/apr/2026 |
Distributie |
| - |
GBP |
LU3310389542 |
BGF MyMap Growth Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/apr/2026 |
4.038,63 |
10,66 |
- |
49,20 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3310389468 |
BGF MyMap Moderate Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/apr/2026 |
3.927,48 |
10,37 |
- |
43,16 |
30/apr/2026 |
Kapitalisatie |
| - |
GBP |
LU3310389385 |
BGF MyMap Cautious Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
01/apr/2026 |
3.871,70 |
10,22 |
- |
13,70 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU3323660418 |
BGF World Energy Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
29/apr/2026 |
34.431,78 |
100,90 |
- |
2.662,35 |
30/apr/2026 |
Kapitalisatie |
| - |
CNH |
LU3323660509 |
BGF World Mining Fund |
BlackRock (Luxembourg) S.A. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
29/apr/2026 |
34.369,26 |
100,72 |
- |
7.469,06 |
30/apr/2026 |
Kapitalisatie |