Back Funds overview

BlackRock | BlackRock Euro Bond Acc

The Fund seeks to maximise total return. It invests at least 80% of its total assets in investment grade fixed income transferable securities. At least 70% of total assets will be invested in fixed income transferable securities denominated in euro. Currency exposure is flexibly managed.
Quote
Quote
€29,36
Quote date
31-03-2026
Performance in EUR
Date
31-03-2026
This year
-1,11%
1 week
-
1 month
-2,91%
3 months
-1,11%
6 months
-0,68%
1 year
1,56%
3 years (annualised)
2,81%
5 years (annualised)
-1,93%
Since start (annualised)
2,95%
Indicators
Standard deviation (3yr)
4,00%
Share ratio (3yr)
-0,02
Beta (3yr)
1,00
Alpha (3yr)
0,34
Tracking error (3yr)
0,46
Top 10 holdings (31-10-2025)
France (Republic Of)
2,81 %
Spain (Kingdom of)
1,62 %
France (Republic Of)
1,54 %
Beignet Investor Llc 144a
1,48 %
Axa SA
1,43 %
Spain (Kingdom of)
1,21 %
Italy (Republic Of)
1,14 %
Agence Francaise De Developpement
1,14 %
France (Republic Of)
1,13 %
Dexia SA
1,07 %
Fees
Entry fee
0,20%; free with Self Directed Investing Basic
Exit charges
0,20%; free with Self Directed Investing Basic
Estimated ongoing charges
0,61%
Dividend
Dividend paying
No
Characteristic
Asset Manager
BlackRock
Asset class
Bonds
Investment category
Bonds - Europe
Active/Passive
Active
Fund code
54469
Fund code fractional orders
54469
Fund manager name
Ronald van Loon|Georgie Merson|Giulia Artolli
ISIN
LU0297941469
Sustainable Classification
Art. 8, ESG integration
Sustainability Rating
Domicile
Luxembourg
Currency
EUR
Fund size (mio)
€1.662,49 (30-03-2026)
Cut-off time
08:30:00
Execution date
Yes
Inception date
08-06-2007
Benchmark
Bloomberg Euro Agg 500MM TR EUR
Minimum investment amount
€20
Assortiment
Self Directed Investing Basic, Self Directed Investing Plus, Investment advice