Our Funds

Funds seeking to preserve and grow investors’ capital across economic and market cycles. 

Our Equity Funds

  • BBH Select Series - Large Cap Fund

    Seeks to provide investors with long-term growth of capital and generate attractive returns over full economic cycles by investing in 25-35 high-quality large cap companies.
  • BBH Select Series - Mid Cap Fund

    Seeks to provide investors with long-term growth of capital and generate attractive returns over full economic cycles by investing in 20-30 high quality investments.

Our Fixed Income Funds

  • BBH Income Fund

    Seeks to provide maximum total return, with an emphasis on current income, consistent with preservation of capital and prudent investment management.
  • BBH Limited Duration Fund

    Seeks to provide maximum total return, consistent with preservation of capital and prudent investment management.
  • BBH Intermediate Municipal Bond Fund

    Seeks to protect investors’ capital and generate attractive risk adjusted returns by combining thorough, independent research and a unique valuation discipline to identify undervalued municipal securities.
  • BBH U.S. Government Money Market Fund

    Seeks to achieve a high level of income consistent with the preservation of capital and maintenance of liquidity.

Resources

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  • Class I | BBLIX
    BBH Select Series - Large Cap ETF
    US Large Cap Equity
    $17.46
    NAV
    -0.13
    Change ($)
    -0.74%
    Change (%)
    10.62%
    YTD Return as of 08/31/2025
  • Class I | BBMIX
    BBH Select Series - Mid Cap ETF
    Mid Cap Equity
    $11.82
    NAV
    -0.18
    Change ($)
    -1.50%
    Change (%)
    -1.01%
    YTD Return as of 08/31/2025
  • Institutional Shares | BBSXX
    BBH U.S. Government Money Market Fund
    Money Market
    $1.00
    NAV
    0.00
    Change ($)
    0.00%
    Change (%)
    2.77%
    YTD Return as of 08/31/2025
  • Class I | BBIIX
    BBH Intermediate Municipal Bond Fund
    Intermediate Municipal
    $10.36
    NAV
    0.00
    Change ($)
    0.00%
    Change (%)
    2.27%
    YTD Return as of 08/31/2025
    3.66%
    Subsidized Yield* as of 08/31/2025
    3.66%
    Unsubsidized Yield* as of 08/31/2025
  • Class I | BBNIX
    BBH Income Fund
    Core Plus Fixed Income
    $9.05
    NAV
    -0.02
    Change ($)
    -0.22%
    Change (%)
    5.76%
    YTD Return as of 08/31/2025
    5.10%
    Subsidized Yield* as of 08/31/2025
    5.10%
    Unsubsidized Yield* as of 08/31/2025
  • Class I | BBBIX
    BBH Limited Duration Fund
    Limited Duration
    $10.52
    NAV
    0.00
    Change ($)
    0.00%
    Change (%)
    3.98%
    YTD Return as of 08/31/2025
    4.55%
    Subsidized Yield* as of 08/31/2025
    4.55%
    Unsubsidized Yield* as of 08/31/2025
  • Class I | BBHLX
    BBH Partner Fund - International Equity
    International Equity
    $20.18
    NAV
    -0.04
    Change ($)
    -0.20%
    Change (%)
    18.90%
    YTD Return as of 08/31/2025

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Total Returns Average Annual Total Returns
Name
Share Class / Ticker
1 Mo.
3 Mo.
YTD
1 Yr.
3 Yr.
5 Yr.
10 Yr.
Since Inception
Performance Inception
Net Expense Ratio
Gross Expense Ratio
Expand
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BBH Select Series - Large Cap ETF
US Large Cap Equity
Class I
BBHL
1.01% 5.56% 10.62% 8.65% 16.19% 11.93% -- 11.10% 09/09/2019 0.71% 0.71%
BBH Select Series - Mid Cap ETF
Mid Cap Equity
Class I
BBHM
-0.92% 4.60% -1.01% -0.70% 9.66% -- -- 4.09% 05/24/2021 0.84% 0.84%
Intermediate Municipal
Class I
BBIIX
0.80% 1.83% 2.27% 2.22% 3.80% 1.18% 2.78% 2.85% 04/01/2014 0.44% 0.44%
Core Plus Fixed Income
Class I
BBNIX
1.24% 2.86% 5.76% 4.63% 5.04% 1.63% -- 3.69% 06/27/2018 0.44% 0.44%
Limited Duration
Class I
BBBIX
0.69% 1.70% 3.98% 5.84% 6.35% 3.99% 3.28% 3.91% 07/20/2000 0.27% 0.27%
International Equity
Class I
BBHLX
1.86% 1.55% 18.90% 13.57% 14.11% 5.19% 7.42% 5.76% 04/01/1995 0.63% 0.63%
  • Class I | BBHL
    BBH Select Series - Large Cap ETF
    09/09/2019
    1.01%
    1 Mo.
    5.56%
    3 Mo.
    10.62%
    YTD
    0.71%
    NET EXP RATIO
    0.71%
    GROSS EXP RATIO
  • Class I | BBHM
    BBH Select Series - Mid Cap ETF
    05/24/2021
    -0.92%
    1 Mo.
    4.60%
    3 Mo.
    -1.01%
    YTD
    0.84%
    NET EXP RATIO
    0.84%
    GROSS EXP RATIO
  • Class I | BBIIX
    BBH Intermediate Municipal Bond Fund
    04/01/2014
    0.80%
    1 Mo.
    1.83%
    3 Mo.
    2.27%
    YTD
    0.44%
    NET EXP RATIO
    0.44%
    GROSS EXP RATIO
  • Class I | BBNIX
    BBH Income Fund
    06/27/2018
    1.24%
    1 Mo.
    2.86%
    3 Mo.
    5.76%
    YTD
    0.44%
    NET EXP RATIO
    0.44%
    GROSS EXP RATIO
  • Class I | BBBIX
    BBH Limited Duration Fund
    07/20/2000
    0.69%
    1 Mo.
    1.70%
    3 Mo.
    3.98%
    YTD
    0.27%
    NET EXP RATIO
    0.27%
    GROSS EXP RATIO
  • Class I | BBHLX
    BBH Partner Fund - International Equity
    04/01/1995
    1.86%
    1 Mo.
    1.55%
    3 Mo.
    18.90%
    YTD
    0.63%
    NET EXP RATIO
    0.63%
    GROSS EXP RATIO

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Fund Documents Investment Commentary Fund Reports
Name
Share Class / Ticker
Summary Prospectus
Prospectus
Fact Sheet
Statement of Additional Info
Fund Application
Monthly
Quarterly
Annual Report
Annual Financial Statements
Semi-Annual Report
Semi-Annual Financial Statements
Holdings
Expand
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BBH Select Series - Large Cap ETF
US Large Cap Equity
Class I
BBHL
-- --
BBH Select Series - Mid Cap ETF
Mid Cap Equity
Class I
BBHM
-- --
Limited Duration
Class I
BBBIX
-- --
Money Market
Institutional Shares
BBSXX
-- -- -- -- --
Intermediate Municipal
Class I
BBIIX
-- --
Core Plus Fixed Income
Class I
BBNIX
-- --
International Equity
Class I
BBHLX
-- -- -- -- --
  • Class I | BBHL
    BBH Select Series - Large Cap ETF
    Prospectus
    Summary Prospectus
    Fact Sheet
    Statement of Additional Information
    Fund Application
  • Class I | BBHM
    BBH Select Series - Mid Cap ETF
    Prospectus
    Summary Prospectus
    Fact Sheet
    Statement of Additional Information
    Fund Application
  • Class I | BBBIX
    BBH Limited Duration Fund
    Prospectus
    Summary Prospectus
    Fact Sheet
    Statement of Additional Information
    Fund Application
  • Institutional Shares | BBSXX
    BBH U.S. Government Money Market Fund
    Prospectus
    Summary Prospectus
    Fact Sheet
    Statement of Additional Information
  • Class I | BBIIX
    BBH Intermediate Municipal Bond Fund
    Prospectus
    Summary Prospectus
    Fact Sheet
    Statement of Additional Information
    Fund Application
  • Class I | BBNIX
    BBH Income Fund
    Prospectus
    Summary Prospectus
    Fact Sheet
    Statement of Additional Information
    Fund Application
  • Class I | BBHLX
    BBH Partner Fund - International Equity
    Prospectus
    Summary Prospectus
    Statement of Additional Information

Caption: Listing of available PDF Fund Documents, Investment Commentary and Fund Reports for our funds.

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  • 12/12/2024
    Record Date
  • 12/13/2024
    Ex. Dividend Date
  • 12/16/2024
    Payable Date
Distributions Per Share
Name
Share Class/ Ticker
Short-Term Capital Gains
Long-Term Capital Gains
Ordinary Income
Total Distribution
% of NAV
Reinvest NAV
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BBH Select Series - Large Cap ETF
US Large Cap Equity
Class I
BBHL
$-- $0.5946 $0.0532 $-- -- $--
BBH Select Series - Mid Cap ETF
Mid Cap Equity
Class I
BBHM
$-- $0.0379 $-- $-- -- $--
International Equity
Class I
BBHLX
$-- $-- $0.1596 $-- -- $--
  • Class I | BBHL
    BBH Select Series - Large Cap ETF
    12/12/2024
    $--
    Short-Term Capital Gains
    $0.5946
    Long-Term Capital Gains
    $--
    Total Distribution
    $--
    Reinvest NAV
    $0.0532
    Ordinary Income
  • Class I | BBHM
    BBH Select Series - Mid Cap ETF
    12/12/2024
    $--
    Short-Term Capital Gains
    $0.0379
    Long-Term Capital Gains
    $--
    Total Distribution
    $--
    Reinvest NAV
    $--
    Ordinary Income
  • Class I | BBHLX
    BBH Partner Fund - International Equity
    12/12/2024
    $--
    Short-Term Capital Gains
    $--
    Long-Term Capital Gains
    $--
    Total Distribution
    $--
    Reinvest NAV
    $0.1596
    Ordinary Income

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Date
Rate
Payable Date
Expand
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No data available in table

*Refers to 30-Day SEC Yield.  The subsidized and unsubsidized yields are available five to ten business days after month-end.

 

Performance data quoted represents past performance. Past performance does not guarantee future results, and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

Returns of less than a year are not annualized.

Performance data quoted represents past performance. Past performance does not guarantee future results, and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

Returns of less than a year are not annualized.

BBH Select Series – Large Cap Fund, BBH Select Series – Mid Cap Fund, BBH Partner Fund - International Equity shares and BBH Partner Fund – Small Cap Equity shares redeemed within 30 days of purchase are subject to a redemption fee of 2.00%. Shares of the BBH Intermediate Municipal Bond Fund and BBH Income Fund redeemed within 30 days of purchase are subject to a redemption fee of 1.00%.

Brown Brothers Harriman & Co., through a separately identifiable department ("Investment Advisor") has contractually agreed to limit the Total Annual Fund Operating Expenses of the BBH Select Series-Large Cap Fund to 0.80% until March 1, 2022. 

The Investment Advisor has contractually agreed to limit the Total Annual Fund Operating Expenses for Class I of the BBH Select Series - Mid Cap Fund after excluding certain expenses to 0.90% through May 24, 2022. Total Annual Operating Expense are based on estimated amounts for the current fiscal year.

The Investment Advisor has contractually agreed to limit the Total Annual Fund Operating for the BBH Limited Duration Fund Class N to 0.35%, until March 1, 2022.

The Investment Advisor has contractually agreed to limit the Total Annual Fund Operating Expenses for the BBH Intermediate Municipal Bond Fund’s Class N to 0.65% and Class I to 0.50% until March 1, 2022.

The Investment Adviser has contractually agreed to limit the Total Annual Fund Operating Expenses for the BBH Income Fund Class N Shares and Class I Shares to 0.70% and 0.50%, respectively, until March 1, 2022.

The contractual expense limitations may only be terminated during their terms with approval of the Fund's Board of Trustees.

The Investment Adviser of the BBH U.S. Government Money Market Fund has voluntarily agreed to waive fees and/or reimburse expenses in order to maintain the minimum annual yield of the Fund at 0.01%. This is a voluntary waiver that can be changed at any time at the sole discretion of the Investment Adviser.

Effective 12/22/2020, the Investment Adviser to the BBH Partner Fund – Select Short Term Assets fund has voluntarily agreed to waive fees and/or reimburse expenses for the Fund in order limit Total Annual Fund Operating Expenses to 0.30%. Total Annual Operating Expense are based on estimated amounts for the current fiscal year.

Total Annual Operating Expense for the BBH Partner Fund – Small Cap Equity are based on estimated amounts for the current fiscal year.

The BBH Limited Duration Fund Class I shares commenced operations on December 3, 2002. Prior to Class I's inception date, the performance of the Class N shares and the BBH Broad Market Fixed Income Portfolio were adjusted to reflect all charges, expenses and fees of the Class I shares as permitted by applicable SEC staff interpretations. From December 22, 2000 to December 2, 2002 the adjusted performance of the Class N shares was used. The adjusted performance of the BBH Broad Market Fixed Income Portfolio was used from its inception date of July 20, 2000 to December 22, 2000.

The BBH Limited Duration Fund Class N shares commenced operations on December 22, 2000. Prior to Class N's inception date, the performance of the BBH Broad Market Fixed Income Portfolio was adjusted to reflect all charges, expenses and fees of the Class N shares as permitted by applicable SEC staff interpretations. The inception date for the BBH Broad Market Fixed Income Portfolio was July 20, 2000.

BBH Partner Fund – International Equity Fund Class I shares commenced operations on 10/25/2002. Total return information for Class I shares from 10/24/2002 to 6/7/1997 is that of Class N shares and from 6/6/2017 to 4/1/1995 is that of the BBH International Portfolio. Class N's and predecessor fund's performance has been adjusted to assume that all charges, expenses and fees which are presently in effect for Class I were deducted during such periods, as permitted by applicable SEC staff interpretations.

You could lose money by investing in the BBH U.S. Government Money Market Fund (Fund). Although the Fund seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. An investment in the Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund's sponsor has no legal obligation to provide financial support to the Fund, and you should not expect that the sponsor will provide financial support to the Fund at any time.

Shares of the Funds are distributed by ALPS Distributors, Inc.

Brown Brothers Harriman Mutual Fund Advisory Department (a separately identifiable department of Brown Brothers Harriman & Co.) provides investment advice to the Funds.

For more complete information, you can find a current prospectus for each fund in the documents table above. You should consider the fund's investment objectives, risks, charges and expenses carefully before you invest. Information about these and other important subjects is in the fund's prospectus, which you should read carefully before investing.

The information on this website in no way constitutes an offer of Fund shares.

Shares of the funds have not been registered for sale outside the U.S. The funds generally do not sell shares to investors residing outside the U.S., even if they are U.S. citizens or lawful permanent residents, except to investors with U.S. military APO or FPO addresses. Brown Brothers Harriman & Co. sponsors UCITS Funds registered in the Grand Duchy of Luxembourg. These funds are available in certain jurisdictions. For more information please visit www.bbhluxembourgfunds.com.

 

NOT FDIC INSURED ● NO BANK GUARANTEE ● MAY LOSE VALUE

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