BBH Luxembourg Funds

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  • Equity Funds

    Building concentrated, durable portfolios where we seek to deliver excellent long-term returns.

  • Fixed Income Funds

    Offering select taxable and tax-exempt funds where we seek to deliver excellent returns.

  • About BBH Luxembourg Funds

    Brown Brothers Harriman equity and fixed income UCITS funds are managed to preserve and grow investors’ capital across economic and market cycles.

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    We focus on identifying durable assets, buying them at attractive valuations, and delivering excellent returns without relying on macroeconomic judgements.

About BBH Luxembourg Funds

Brown Brothers Harriman equity and fixed income UCITS funds are managed to preserve and grow investors’ capital across economic and market cycles. We focus on identifying durable assets, buying them at attractive valuations, and delivering excellent returns without relying on macroeconomic judgements.

Our Funds

  • BBH Equity Funds

    Building concentrated, durable portfolios where we seek to deliver excellent long-term returns.
  • BBH Fixed Income Funds

    Offering select fixed income funds where we seek to deliver excellent results.

Our Approach to ESG

In BBH Mutual Funds, ESG analysis is embedded in our bottom-up investment process, and environmental, social and governance factors are evaluated, as part of our research process, to help us access long-term sustainability and durability of our equity strategies, corporate bonds, municipal debt and structured products.

Resources

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  • Class A | LU0643341745
    BBH Short Duration Fund | Limited Duration
    $13.72
    NAV
    0.00
    Change ($)
    0.00%
    Change (%)
    3.54%
    YTD Return (%)
  • Class I | LU0407242659
    BBH Core Select | U.S. Large Cap Equity
    $63.89
    NAV
    -0.47
    Change ($)
    -0.73%
    Change (%)
    9.90%
    YTD Return (%)
  • Class R[i] | LU0527403801
    BBH Core Select | U.S. Large Cap Equity
    $41.50
    NAV
    -0.31
    Change ($)
    -0.73%
    Change (%)
    9.90%
    YTD Return (%)
  • Class A | LU1966278639
    BBH Income Fund | Core Plus Fixed Income
    $10.33
    NAV
    -0.02
    Change ($)
    -0.18%
    Change (%)
    5.35%
    YTD Return (%)

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Table containing the most recent month-end, quarter-end and year-end performance returns for our Funds.
Annual Returns Total Returns Average Annual Total Returns
Name
Share Class / ISIN
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
1 Mo.
3 Mo.
YTD
1 Yr.
3 Yr.
5 Yr.
10 Yr.
Since Inception
Performance Inception
Ongoing Charges
Expand
/Close
Limited Duration
Class A
LU0643341745
6.15% 7.20% -1.46% 1.30% 3.18% 4.09% 1.72% 1.99% 2.50% -0.58% 0.43% 0.99% 6.15% 6.15% 3.89% 3.22% 2.58% 2.36% 31/01/2013 0.50%
U.S. Large Cap Equity
Class I
LU0407242659
14.83% 22.71% -21.33% 26.19% 12.17% 28.81% -7.75% 18.76% 7.65% -3.24% -4.15% -3.18% 14.83% 14.83% 3.49% 9.43% 8.72% 11.46% 28/01/2009 1.15%
Core Plus Fixed Income
Class A
LU1966278639
2.92% 7.59% -13.28% 0.13% -- -- -- -- -- -- -1.31% -2.74% 2.92% 2.92% -1.34% -- -- -0.75% 02/11/2020 0.55%
  • Class A | LU0643341745
    BBH Short Duration Fund
    31/01/2013
    0.43%
    1 Mo.
    0.99%
    3 Mo.
    6.15%
    YTD
    0.50%
    Ongoing Charges
  • Class I | LU0407242659
    BBH Core Select
    28/01/2009
    -4.15%
    1 Mo.
    -3.18%
    3 Mo.
    14.83%
    YTD
    1.15%
    Ongoing Charges
  • Class R[i] | LU0527403801
    BBH Core Select
    21/10/2011
    -4.15%
    1 Mo.
    -3.18%
    3 Mo.
    14.83%
    YTD
    1.15%
    Ongoing Charges
  • Class A | LU1966278639
    BBH Income Fund
    02/11/2020
    -1.31%
    1 Mo.
    -2.74%
    3 Mo.
    2.92%
    YTD
    0.55%
    Ongoing Charges

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Listing of available PDF Fund Documents, Investment Commentary and Fund Reports for our Funds.
Fund Documents Fund Reports
Name
Share Class / ISIN
Fact Sheet
Subscription Information
Prospectus - English
Prospectus - German
Annual Report
Semi-Annual Report
Holdings
Expand
/Close
Core Plus Fixed Income
Class A
LU1966278639
-- --
U.S. Large Cap Equity
Class R[i]
LU0527403801
-- --
U.S. Large Cap Equity
Class I
LU0407242659
-- --
Limited Duration
Class A
LU0643341745
-- --

Marketing Communications

Annual Returns are for the current and prior 12-month periods.

Past performance is not a reliable indicator of future results. The past performance excludes the entry and exit charges. The ongoing charges figure is based on actual expenses for the year ending December 2019. This figure may vary from year to year. It excludes portfolio transaction costs. The entry charge is 5% of the initial price or subscription price. BBH Luxembourg Funds – BBH Core Select shares redeemed within 30 days of purchase may be subject to an exit charge of 2%. The BBH Luxembourg Funds – BBH Income Fund and BBH Luxembourg Funds – BBH Short Duration Fund shares redeemed within 30 days of purchase may be subject to an exit charge of 1%. The entry and exit charges shown are maximum figures. In some cases, you may pay less. Past performance has been calculated in USD. Performance can be increased or reduced as a result of currency fluctuations. Annual returns are based on complete year figures.

The BBH Luxembourg Funds – BBH Short Duration Fund Class A shares commenced operations on 31 January 2013.The Class I shares commenced operations on 25 March 2009. Prior to 28 June 2011, the BBH Luxembourg Funds (the “Company”) was subject to the Luxembourg Law dated 13 February 2007 relating to specialized investment funds (“SIF”), as amended. As a result, past performance is based on the pre-existing sub-funds of the Company operating as SIFs. Note that performance information for the period in reference may not be representative of the Fund’s current structure under the UCITS regime.

A less favorable ESG profile may not preclude the Adviser from investing in a company, as the consideration of ESG factors is not more influential than the consideration of other investment criteria.  Considering ESG factors as part of investment decisions may result in the Fund forgoing otherwise attractive opportunities, which may result in lower performance when compared to funds that do not consider ESG factors.

This is marketing communication.

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