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Search Results: 533 funds Show   results per page   1 2 3 4 5  ... Next End      
  Performance        Risk Indicators        NAV & Subscription Fee

Fund Name

Currency

Risk
Level


Fund Type

Morningstar Rating
Total Cumulative Returns (%)

3
month
6
month
1
year
2
year
3
year
Since
Launch
HSBC Global Investment Funds-Global Bond USD 1 Bond Global
0.24% 0.66% 4.09% 14.53% 21.46%
As of May 16, 2012
HSBC Global Investment Funds - Indian Equity USD 5 Equity Single Country
-23.01% -9.47% -33.86% -34.00% 20.72%
As of May 16, 2012
HSBC Global Investment Funds-US Equity USD 3 Equity North America
-1.14% 6.04% -0.81% 18.47% 44.88%
As of May 16, 2012
HSBC Global Investment Funds - US Dollar Bond USD 1 Bond North America
0.84% 2.16% 6.29% 9.92% 20.39%
As of May 16, 2012
HSBC Global Investment Funds - THAI Equity USD 5 Equity Single Country
-0.06% 13.67% 4.59% 53.99% 136.07%
As of May 16, 2012
HSBC GIF - Global Emerging Markets Bond Fund-PD USD 2 Bond Global
-0.80% -0.75% 8.97% 46.88% 28.95%
As of March 1, 2011
HSBC GIF - Global Emerging Markets Bond Fund-AM USD 3 Bond Global
1.54% 5.55% 8.69%
As of May 16, 2012
HSBC Global Investment Funds Global Emerging Markets Bond Fund AC USD 3 Bond Global
1.53% 5.54% 8.68%
As of May 16, 2012
HSBC Global Investment Funds-European Equity EUR 3 Equity Europe
-5.52% 6.48% -13.25% 2.13% 26.99%
As of May 16, 2012
HSBC Global Investment Funds-Euroland Equity Fund-AD EUR 4 Equity Europe
-11.56% -2.35% -26.11% -16.39% 3.44%
As of May 16, 2012
HSBC Global Investment Funds - Brazil Equity USD 5 Equity Single Country
-19.17% -10.48% -25.18% -11.99% 40.96%
As of May 16, 2012
HSBC Global Investment Funds -Euroland Equity Smaller Companies USD 5 Equity Single Country
-11.85% -8.49% -25.91% -3.98% 32.68%
As of May 16, 2012
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend USD 4 Equity Asia Pacific
-7.93% -1.17% -12.67% 5.72% 40.77%
As of May 16, 2012
HSBC Global Investment Funds -Euroland Equity Smaller Companies EUR 4 Equity Small Companies Others
-4.61% 8.45% -16.62% 2.60% 37.64%
As of May 16, 2012
HSBC Global Investment Funds - Asia ex Japan Equity USD 4 Equity Asia Pacific
-13.51% -5.39% -23.49% -5.31% 26.66%
As of May 16, 2012
HSBC Global Investment Funds - BRIC Markets Equity USD 4 Equity Emerging Markets
-17.15% -8.42% -23.05% -12.89% 14.44%
As of May 16, 2012
HSBC Global Investment Funds - Chinese Equity USD 4 Equity Single Country
-13.78% -5.37% -22.43% -12.40% 4.64%
As of May 16, 2012
HSBC Global Investment Funds - Climate Change USD 4 Equity Global
-2.49% 4.53% -14.93% -5.73% 8.44%
As of May 16, 2012
HSBC Global Investment Funds - Russia Equity USD 5 Equity Single Country
-16.70% -11.51% -29.06% -11.47% 39.58%
As of May 16, 2012
HSBC Global Investment Funds - Latin American Equity-AD USD 4 Equity Emerging Markets
-14.41% -7.98% -21.77%
As of May 16, 2012
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Disclaimer:
Our onshore and offshore funds are registered with and approved by the Financial Supervisory Commission, Executive Yuan for raising and selling locally; however this does not imply that they are risk-free. The past performance of the fund management companies does not serve as a guarantee for future minimum returns. Other than the obligations of being a prudent manager, the fund management company is not responsible for the profits or losses of the funds and neither does it guarantee any minimum returns. Investors should comprehensively peruse the prospectus before making any subscriptions.
All expenses incurred by the fund (including commissions) have been disclosed in the prospectus and the notice to investors. Investors may download these prospectuses from Fund Clear or Market Observation Post System or you could request directly from the fund company.
The fund dividend rate does not represent the fund yield, and the past dividend rates do not imply dividend rates in the future. Fund NAV may be volatile due to risk from market.
Investors may experience different return rates due to the different timings of their investments. Past performance does not serve as a guarantee for future performance.
The above fund information is provided by Sysjust and serves as a reference for investors only. HSBC does not guarantee the accuracy of information provided.
The Morningstar Rating is provided by Morningstar Inc. © Copyright 2008 Morningstar, Inc. All rights reserved.
The value of High yield bond funds may suffer from great loss due to the changes in economic climate, the rise of interest rates, price drop of high yield bond markets, and the default of the issuing institutions. Investors with little risk tolerance level are not recommended to consider this type of funds.
Customer's investment in mutual funds does not belong to the deposit, obligation and guarantee of HSBC or its sub-entity. Customers who invest in mutual funds shall be responsibe for their own decision and the result of the investment; HSBC and its sub-entity will not guarantee the performance of the investment nor share the related risks. The past performance of a mutual fund does not guarantee the future performance. Fund NAV can go up and down and the investors need to be aware of the investment risk (including but not limited to market risk, exchange risk, and liquidity risk).
The above fund information is not for the purpose of promoting certain funds. Before investors place orders, investors need to comprehensively peruse fund fact sheets, investor guides and prospectuses. All the funds offered by HSBC will first need to obtain regulatory approval; U.S. citizen, residents or individuals with the U.S. right of residence will not be allowed to subscribe to mutual funds from HSBC nor have others to subscribe for them.

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