Products

BlackRock ESG Euro Corporate Bond Fund

(Mutual) Fund in category EAA Fund EUR Corporate Bond
Products

General info

Product type
(Mutual) Fund
Domicile
Luxembourg
Investment Area
Global
Category
EAA Fund EUR Corporate Bond
Latest Update
15/01/2026

Summary Risk Indicator

1
2
7
Low risk
Typically lower return
High risk
Typically higher return

Asset allocation

Bond
66%
Equity
1%
Liquidities
23%
Other
10%

Issuers

Corporates
62%
Other
38%

SFDR disclosure information

SFDR disclosure information

Info text...

Sustainable investments
20%
Environment & social characteristics
80%

Sustainability strategies used

Sustainability strategies used

A sustainable financial portfolio should make use of 4 strategies:

A sustainable financial portfolio should make use of 4 strategies: 1. ESG integration 2. Normative screening 3. Exclusion 4. One main additional strategy The first 3 strategies ensure the portfolio does not finance activities that pose significant harm to sustainability factors. The additional strategy supports the ESG characteristics or the sustainable objectives the portfolio wants to achieve. The additional strategies can have varying degrees of selectivity or focus: a) Best-in-class/universe selection b) Sustainability themed investing c) Impact investing d) Do better than a benchmark on one or more ESG indicators e) Other strategy that results in favouring more sustainable issuers in the selection process In addition, engaging in a dialogue with companies and/or exercising voting rights in the investee companies is strongly encouraged, especially if the portfolio invests in high-risk sectors such as textile, agriculture, etc. For investments in the fossil fuel sector, engagement is mandatory.

2. Normative screening

3. Exclusion

4. One main additional strategy

The first 3 strategies ensure the portfolio does not finance activities that pose significant harm to sustainability factors. The additional strategy supports the ESG characteristics or the sustainable objectives the portfolio wants to achieve. The additional strategies can have varying degrees of selectivity or focus:

a) Best-in-class/universe selection

b) Sustainability themed investing

c) Impact investing

d) Do better than a benchmark on one or more ESG indicators

e) Other strategy that results in favouring more sustainable issuers in the selection process

In addition, engaging in a dialogue with companies and/or exercising voting rights in the investee companies is strongly encouraged, especially if the portfolio invests in high-risk sectors such as textile, agriculture, etc. For investments in the fossil fuel sector, engagement is mandatory.

  • ESG integration
    ESG integration

    Info text...

    ESG due diligence using the 'double materiality' perspective
  • Norms & standards
    Norms & standards

    Info text...

    Respect for international norms & standards
  • Exclusions
    Exclusions

    Info text...

    Exclusion of harmful activities
  • Stewardship
    Stewardship

    Info text...

    Engaging in a dialogue with and/or exercising voting rights in the companies invested in
  • Other ESG strategy
    Other ESG strategy

    Info text...

    Another way to favour more sustainable issuers in the selection process

Exposure to controversial sectors

Exposure to controversial sectors

Info text...

Tobacco

Info text...

Tobacco
0
0
Category
5%
In % of the portfolio.
Weapons

Info text...

Weapons
0
0
Category
5%
In % of the portfolio.
Controversial weapons

Info text...

Controversial weapons
0
0
Category
5%
In % of the portfolio.
Coal

Info text...

Coal
0
0
Category
5%
In % of the portfolio.
Arctic oil and gas exploration

Info text...

Arctic oil and gas exploration
0
0
Category
5%
In % of the portfolio.
Oil sands extraction

Info text...

Oil sands extraction
0
0
Category
5%
In % of the portfolio.
Conventional oil & gas production

Info text...

Conventional oil & gas production
0
7.8%
Category
10%
In % of the portfolio.
Non-renewable energy generation

Info text...

Non-renewable energy generation
Data not yet available
In % of the portfolio.
Nuclear energy generation

Info text...

Nuclear energy generation
0
4.8%
Category
5%
In % of the portfolio.

Adverse impact indicators

Adverse impact indicators

Info text...

Corporates

Carbon Footprint

Info text...

Carbon Footprint
0
25.3
Category
100
In tonnes per million EUR.
GHG intensity

Info text...

GHG intensity
0
86.2
Category
200
In tonnes per million EUR.
Fossil fuel involvement

Info text...

Fossil fuel involvement
0
7.2%
Category
10%
In % of the portfolio.
Non-renewable energy consumption

Info text...

Non-renewable energy consumption
0
47.9%
Category
100%
In % of the portfolio.
Negative effect on biodiversity

Info text...

Negative effect on biodiversity
0
0
Category
5%
In % of the portfolio.
Emissions to water

Info text...

Emissions to water
0
0
5
In tonnes per million EUR.
Hazardous waste

Info text...

Hazardous waste
0
0.7
Category
5
In tonnes per million EUR.
UNGC principles/ OECD guidelines violations

Info text...

UNGC principles/ OECD guidelines violations
0
0.6%
Category
5%
In % of the portfolio.
Female board members

Info text...

Female board members
0
42.4%
Category
50%
In % of female board members of the underlying holdings.

Sovereigns

Carbon Intensity

Info text...

Carbon intensity
0
0.4%
Category
5%
In % of the portfolio.
Social violations

Info text...

Social violations
0
0
Category
5
In number of countries.

Sustainability impact

Impact themes

Impact themes

Info text...

30%
25%
20%
15%
10%
5%
0%
Climate action
14%
Resource security
10%
Healthy ecosystems
6%
Basic needs
7%
Human development
13%

Top 3 SDGs

Top 3 SDGs

Top 3 SDGs

Info text...

EU taxonomy

EU taxonomy

Info text...

EU Taxonomy alignment

Info text...

EU Taxonomy alignment
0
0
5%
In % of the portfolio.

Other portfolio details

Question Answer
Can derivatives be used in the portfolio management?
Does the portfolio contain use-of-proceeds instruments?
Can the product practice securities lending?
Does the product practice short selling?
Does the product invest in unlabelled underlying products?

ISIN Codes

LU1908247056; LU1908247130; LU1908247213; LU1908247304; LU2026301205; LU2026302278; LU2298464004; LU2384697590; LU2384697673; LU2525720822