Investment with principles

We promote a responsible investment model that prioritizes the social impact, sustainability and long-term development of Bizkaia.

Our model

We invest with the mission to protect and increase the wealth generated by BBK for more than 100 years, as a main guarantee of the perpetuity of the Entity, and with it, ensuring the stability and future of our Social Project Work

In addition to the traditional criteria of profitability and risk, we add our responsibility with sustainability and the positive impact on our environment.

We invest in consolidated companies, where we expect a recurrence in their cash flows in the future, with the aim of financing the annual budgets of our Social Work in Bizkaia. We also do so in those companies which, although not yet at a mature stage, have a high projected growth.

We maintain a portfolio with adequate diversification and moderate risk, as a basic principle to limit potential losses on our assets and thus guarantee our future revenues.

We incorporate environmental, social and governance considerations into our investment decisions. We invest with a clear vocation of permanence and, in this sense, we understand that those companies with better ESG performance will be more resilient and sustainable over time.

Our objective is to support the economic fabric in the Basque Country. We are the main in Basque companies in the State, with 90% of our investments in the territory, contributing to local economic development and the well-being of communities.

BBK promotes local economic and social development

We manage an investment portfolio for projects in which Basque companies play an important role or have a significant impact in the Basque Country. Our model seeks to maximize social impact and minimize environmental impact.

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Managed assets

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Employments maintained by our investees

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Investments in the Basque Country

Investment portfolio

Our investments seek an appropriate balance between profitability, diversification of risks and impact on local development, which can be classified in the following portfolios:

Diversification Portfolio

Composed of other financial instruments, all of which are of high liquidity and credit quality, with the objective of complying with the regulation applicable to the investment of the Reserve Fund and of providing greater diversification to the portfolio by incorporating new companies, sectors of activity and geographies.

Strategic Portfolio

We participate in industrial enterprises and infrastructures with sectoral leadership and strong roots in the Basque Country, contributing to local economic growth.

Social Portfolio

We support companies in their early or initial stage of maturity that transform social, environmental and sociosanitary challenges into impact opportunities.