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At least two years time horizon.

B&H Bonds LU

Annualised average return:
4,0%
From:
Dic 2015
B&H Bonds LU “1”
FEES

Management 0,56%

Success 3% of profit

Depository 0,04%

ASSETS 01/04/2025
277,9MM€
RETURN YTD
0,45%
RETURN FROM START
43,94%
NET ASSET VALUE
1,2713

For investors with at least two years time horizon.

Our longest-established fixed-income investment fund.

B&H Bonds LU selects bonds, especially corporates, for active management after in-depth analysis and seeks returns by reducing the risk premiums of the issuers we invest in.

No Data Found

Portfolio composition for B&H Bonds LU

97% Bonds

3% Liquidity

Returns from launch

Bloomberg Euro Aggregate Corporate Bond

B&H Bonds LU

Annual Return

B&H BONDS Benchmark Return Gap
2025 0,45% 0,20% 0,25%
2024 8,31% 4,74% 3,57%
2023 11,65% 8,19% 3,46%
2022 -8,62% -13,64% 5,02%
2021 4,62% -0,97% 5,59%
2020 1,97% 2,77% -0,80%
2019 12,74% 6,24% 6,50%
2018 -4,06% -1,25% -2,81%
2017 6,75% 2,41% 4,34%
2016 6,33% 4,73% 1,60%

Returns net of fees.
Past performance is not indicative of future results.

Performance assummed from BH Renta Fija Europa Sicav, merged with B&H Bonds LU.

Cumulative Return

B&H BONDS Benchmark Return Gap
YTD 0,45% 0,20% 0,25%
1 Year 6,47% 4,45% 2,02%
3 Years 15,05% 3,26% 11,79%
5 Years 41,85% 6,37% 35,48%
Launched Dic 2015 43,94% 11,24% 32,70%

Cumulative performance based on actual data.
Returns net of fees.
Past performance is not indicative of future results.

Performance assummed from BH Renta Fija Europa Sicav, merged with B&H Bonds LU.

Every document always up to date

Monthly Fact Sheet

Semiannual report

Prospectus, PRIIP & Management Regulation

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