Fund factsheetFundFacts API
Issuer BlackRockFigures as of 2026-10-02Generated 4 Oct 2026

BlackRock ICS Euro Liquidity Fund Premier Acc

IE00B3ZJFC95UCITS Fund

The Fund aims to maximise income on your investment consistent with maintaining capital and ensuring its underlying assets can easily be bought or sold in normal market conditions. Money invested in the Fund is not protected or guaranteed. The Fund invests in a broad range of High Credit Quality fixed income securities (such as bonds) and money market instruments (MMIs) (i.e. debt securities with short term maturities). It may also invest in deposits with credit institutions (e.g. banks). The investment manager will take into account certain environmental social and governance criteria when selecting investments, as detailed in the Fund’s prospectus. The Fund is a “Short Term Low Volatility Variable Net Asset Value Money Market Fund” (or LVNAV) as defined by the EU Money Market Funds Regulations.

Growth of 100

10010520132016201920222025
Fund109
2010-09 → 2026-08 · rebased to 100

Key facts

TER0.10%
Fund sizeEUR 64.2bn
Inception2010-09-06
Holdings289
CurrencyEUR
DistributionAccumulating

Top holdings

  1. 01TRI-PARTY BNP PARIBAS4.22%
  2. 02TRI-PARTY THE BANK OF NOVA SCOTIA4.15%
  3. 03TRI-PARTY ING BANK NV3.26%
  4. 04TRI-PARTY NATIXIS S.A.3.04%
  5. 05TRI-PARTY MIZUHO INTERNATIONAL PLC1.85%
  6. 06TRI-PARTY MIZUHO INTERNATIONAL PLC1.85%
  7. 07COOPERATIEVE RABOBANK UA EURO1.54%
  8. 08TRI-PARTY NATIONAL AUSTRALIA BANK1.48%
  9. 09KBC BANK (LONDON BRANCH) EURO1.40%
  10. 10TRI-PARTY SMBC BANK INTERNATIONAL1.33%

Countries

  1. France20.5%
  2. Canada18.1%
  3. Japan14.0%
  4. Eurozone10.9%
  5. Australia7.6%
  6. Netherlands5.4%
  7. Sweden5.0%
  8. United States3.9%
  9. Finland3.8%
  10. Other4.6%

Credit quality

  1. S&P Rating A-1+64.8%
  2. S&P Rating A-135.0%
  3. No Short-term S&P Rating0.2%

Risk & profile

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3
4
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7
Lower risk · lower rewardHigher risk · higher reward
EUR Money Market
RiskLowConcentrationDiversifiedRegionGlobalCreditLow

Calendar-year returns

−0.6%2020−0.7%2021−0.1%2022+3.2%2023+3.8%2024+2.3%2025

Annualised returns

PeriodFund
1 Year+2.08%
3 Years p.a.+2.91%
5 Years p.a.+2.06%
10 Years p.a.+0.76%
Since Inception+0.55%

Risk & valuation metrics

Volatility 3y0.2%
Max drawdown0.0%

Figures as of 2026-10-02. Data from FundFacts API; not investment advice.