BLS Capital manages two portfolios: one Danish and one global. The global one is the portfolio of two of the sub-funds in BLS Invest.

Both portfolios are managed under the same investment philosophy focusing on generating long-term, attractive risk-adjusted returns to our co-investors.

The Danish portfolio is typically invested in 10 to 15 listed Danish companies, while the global portfolio typically holds between 25 and 30 listed global companies.