The U.S. is the world’s largest and most liquid financial market, which has historically offered exceptional transparency, accessibility and depth. However, rising concentration among a small group of dominant companies is reshaping the opportunity set, often masking underlying dispersion and reinforcing the importance of active stock selection.

01.
The BGF US Flexible Equity Fund is built to address today’s levels of concentration in the U.S. equity market. The fund aims to mitigate concentration risk through a high conviction, flexible, style agnostic portfolio, balancing risk across mega caps and AI names while seeking to capture differentiated alpha across the US market.
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The Fund harnesses BlackRock’s US Fundamental Equities platform strongest ideas drawing on both the Growth and Value pillars. This setup provides access to a vast and diverse pipeline ensuring plenty of competition for capital and a high conviction approach.
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Our investment philosophy takes an earnings first approach, investing where we have a differentiated view on a company’s 3 to 5-year earnings potential. The fund aims to translate our deep understanding of the fundamentals, and use systematic tools, to enhance alpha potential.
Listen to Lauren Rowe, Product Strategist, as she explains how broadening market leadership, AI-driven dispersion and an earnings-first approach are shaping a more compelling environment for active management.
While US equities dominate global benchmarks, EMEA portfolios remain relatively underweight. Combined with resilient economic growth and robust earnings, this creates a compelling opportunity to increase exposure and capture money in motion.
Although index concentration remains elevated, market breadth is widening beyond mega‑caps, reinforcing the case for active management. Strategies such as BGF US Flexible Equity offer diversified, earnings‑led exposure with disciplined mega‑cap risk controls, aligning closely with evolving client priorities.
Find out more about our BGF US Flexible Equity Fund, access the latest factsheet, holdings and performance information.
Listen to our podcast interview with BGF US Flexible Equity Fund Portfolio Manager, Ibrahim Kanan.
Active investing involves portfolio managers selecting stocks based on fundamental research rather than tracking an index. The aim is to outperform the market or manage risk more effectively across different market conditions.
As a global investment manager and fiduciary to our clients, our purpose at BlackRock is to help everyone experience financial well-being. Since 1999, we've been a leading provider of financial technology, and our clients turn to us for the solutions they need when planning for their most important goals.