Inspired by the success of its multibrand offerings, which over the years have seen the number of partners increase to include the foremost international management firms, in 2008 Banca Generali created BG COLLECTION INVESTMENTS, an instrument that builds on the previous multibrand approach to add features that are innovative within the asset management industry.

BG COLLECTION INVESTMENTS is not just a Luxembourg SICAV that invests in financial instruments; it is also an innovative fund-of-funds system in which funds are selected specifically for you by our professional staff, combining the managerial expertise of the foremost international investment firms in specific markets with the experience of our managers.

In pursuit of the constant innovation and anticipation of market trends that sets the Banca Generali Group apart, the multibrand concept has been further developed by expanding it to include top third-party partners in the SICAV system.

BG COLLECTION INVESTMENTS has been enhanced to feature new monobrand sub-funds, managed directly by renowned, highly specialised third-party partners who seek the best possible results by leveraging their strengths.

The advantages of BG COLLECTION INVESTMENTS are attributable to the fact that investors can use a single product to benefit from a high degree of diversification at various levels (instruments, markets, strategies, managers and products) thanks to:

  • access to the foremost international management firms and most innovative investment strategies;
  • a mix of different, complementary investment types and a high degree of geographical diversification between developed and emerging countries; and
  • the professionalism and expertise offered by the General Fund Management team and leading management companies, specialised in qualitative and quantitative fund section and the constant monitoring of products in portfolio.

Investment in BG COLLECTION INVESTMENTS is simple, customisable and flexible:

  • thanks to the ability to switch between sub-funds, investors can enter and exit markets rapidly, in some cases even automatically (planned switch service);
  • it provides the utmost freedom of choice of the amount of investment, according to personal needs and goals;
  • customisation includes the ability to invest gradually through savings plans and to decide the duration, amount and frequency of instalments according to personal needs; and
  • entry and sub-fund switch fees are flexible, depending on the characteristics of the investment.

The product line consists of 25 sub-funds. 11 actively managed, with fund selection carried out by the BG FUND MANAGEMENT LUXEMBOURG S.A. team:

  • 7 Equity Sub-Funds
  • 2 Flexible / Multi-Asset Sub-Funds
  • 2 Bond/ Debt Sub-Funds

In addition, since 2010 the line has been expanded to include 14 new sub-funds under third-party management.


You are connected to the website of BG FUND MANAGEMENT LUXEMBOURG S.A., a company incorporated under Luxembourg law whose purpose is the collective management of Luxembourg and/or foreign UCITS that have been approved in accordance with Directive 85/611/EEC, as amended, and other Luxembourg and/or foreign funds not covered by the Directive.

BG FUND MANAGEMENT LUXEMBOURG S.A. is registered with the Luxembourg Trade and Companies Register under number B 134.555.

BG FUND MANAGEMENT LUXEMBOURG S.A. is on the "Commission de Surveillance du Secteur Financier" (CSSF)'s official list of management companies whose authorization exclusively covers the activity of collective management according to Article 101(2) of Chapter 15 of the law of 17 December 2010 relating to undertakings for collective investment.

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Visitors of this website shall read carefully the present notice before going any further.

Visitors consulting BG FUND MANAGEMENT LUXEMBOURG S.A. Internet website pages agree having read, understood and accepted the content of the present disclaimer. Visitors that do not agree with this disclaimer are required to leave this website. L

By accessing this website, the visitors acknowledge having the skills and competence to use this website. The site is available in several languages, however English is the official language.

It is the responsibility of any person connecting to this website to comply with the law of the country in which he/she is resident. That person will bear any direct or indirect consequences resulting from non-compliance with the legal and regulatory requirement. BG FUND MANAGEMENT LUXEMBOURG S.A. cannot under any circumstances be held liable for such violation.


All material information disseminated on this website is provided solely for purposes of information. This information is published without any guarantee of completeness or accuracy and has no legal, accounting or fiscal value as such.

This website aims to present the activity of asset management of BG FUND MANAGEMENT LUXEMBOURG S.A. The information provided herein does not constitute in any manner an offer or solicitation to buy or sell any financial instrument.

The various information available on this website, particularly in relation to undertakings for collective investment in transferable securities (UCITS) managed by BG FUND MANAGEMENT LUXEMBOURG S.A., shall in no way constitute an offer to subscribe or redeem units or shares of UCITS.

The information available on this website stems from sources considered reliable by BG FUND MANAGEMENT LUXEMBOURG S.A. However, Generali Fund Management S.A cannot be held responsible for the use of this information and any financial consequences that would arise therefrom.

In no way does this website claim to be a substitute neither for the reader's personal deliberations nor for his technical and professional knowledge. Hyperlinks to other Internet resources are used at the visitor's own risk.


Before investing in UCITS, it is imperative to thoroughly read and understand the entire prospectus of the UCITS or the Key Information Documents and to review the latest financial report of the fund. These documents are available on this website or with BG FUND MANAGEMENT LUXEMBOURG S.A.

Past performances can in no way guarantee future results and investments may fluctuate downward as well as upward.

Investment in UCITS may include some economical and market related risks. Before investing in any UCITS, investors are asked to ensure that the UCITS in question is authorized for trading in its country of origin and to consult their own personal patrimonial, legal and tax advisors as well as official distributors of UCITS.

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The personal data communicated to us is treated in strict confidence in conformity with the Luxembourg legal provisions governing the protection of personal data.

Under no circumstances will this information be disclosed to third parties without the client's prior agreement.


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