Luxembourg Fund Market Overview

This section combines data from the Comission de Surveillance du Secteur Financier (CSSF) and the Banque Centrale du Luxembourg (BCL) to provide a full picture of the assets under management (AuM) across Luxembourg’s fund industry. The AuM of AIFs includes the combined assets of Part II funds, SIFs, SICARs, and RAIFs.

Please note that data from the CSSF and the Central Bank of Luxembourg (BCL) are not published at the same time. To ensure consistency and accuracy, the statistics presented are based on figures from the same reference month.

Here are the combined statistics for January 2026.

                                  Sources: CSSF and BCL

  Source: ALFI

          Sources: CSSF and BCL

 

The total number of assets under management (AuM) of investment funds domiciled in Luxembourg, including UCITS and AIFs, amounted to EUR 8,299.33 billion

Change over the last 12 months: +8.41%

Net sales: EUR 45.363 billion.

 

CSSF Statistics

The CSSF publishes monthly statistics on supervised UCIs (undertakings for collective investment). The most recent data issued by the CSSF is presented below:

At the end of February 2026:

  • Net assets stood at EUR 6,436.135 bn.
  • Net sales stood at EUR 47.047 bn compared to EUR 31.223 bn in January.
  • The increase over the last 12 months is +8,04%.

Source: CSSF

    Source: CSSF

Source: CSSF

 
 

 

 

 

 

Funds, sub-funds and net assets since 2000

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(Figures as at end February 2026)

Investment class distribution

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(Figures as at end February 2026)

Market shares of fund sponsors by country of origin

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(Figures as at end February 2026)