6 sept. 2022 HSBC GIF Asia High Yield Bond. 0.75. 0.75. HSBC GIF Asia Pacific ex Japan Equity High Dividend. 0.20. 0.27. HSBC GIF Asian Currencies Bond.
25 mai 2022 HSBC Global Investment Funds. GLOBAL HIGH INCOME BOND. Monthly report 31 May 2022
20 juil. 2012 HSBC Global Investment Funds. GLOBAL HIGH YIELD. BOND. Monthly report 31 July 2022
As an asset class global high yield (GHY) bonds are recognized for The HSBC GIF Global High Yield fund takes a risk-focused approach.
26 août 2022 HSBC Global Investment Funds. GLOBAL HIGH INCOME BOND. Monthly report 31 August 2022
28 mars 2022 HSBC GIF Global High Yield Bond. 0.20. 0.20. HSBC GIF Global Investment Grade Securitised Credit Bond. 0.15. 0.15. HSBC GIF Global Lower ...
Fund. You are advised to read it so you can make an informed decision about whether to invest. HSBC GLOBAL INVESTMENT FUNDS - GLOBAL HIGH YIELD ESG BOND.
HSBC GIF Global High Yield Securitised Credit Bond. 1.61. 1.61. HSBC GIF Global Inflation Linked Bond. 0.16. 0.16. HSBC GIF Global Investment Grade
29 oct. 2018 HSBC Global Investment Funds. US HIGH YIELD BOND. Monthly report 31 July 2022
The board of directors (the “Board”) of HSBC GIF has decided to reduce the maximum Sales Charge that can be Global High Yield Fixed Term Bond 2021.
HSBC Global High Yield Positioning for new horizons November 2020 Non-contractual document This publication is intended for Professional Clients as defined by MIFID only and should not be distributed to or relied upon by Non professional clients The information contained in this publication is not intended as investment advice or recommendation
HSBC Global Investment FundsGLOBAL HIGH YIELD BOND Monthly report 31 December 2022 Share class AM3HAUD Fund center Past performance does not predict future returns The figures are calculated in the share class base currency NAV to NAV basis with dividend reinvested net of fees
In 2020 the HGIF Global Bond Total Return fund (GBTR) delivered strong performance of +7 9 The fund allocated successfully across fixed income sectors and took advantage of opportunities while focusing on managing downside risk
HSBC GIF Global Bond Total Return 2020 Performance review For professional clients only February 2021 We believe this is the optimal expression of global fixed income investing dynamically exploiting the best ideas as economic conditions change - Olivier Boulind Head of Global Credit Strategy Global Bond team Key takeaways:
HSBC GIF Global Corporate Fixed Term Bond 2022* N/A 1 25 HSBC GIF Global Emerging Markets Bond 2 00 2 00 HSBC GIF Global Emerging Markets Equity 0 52 0 57 HSBC GIF Global Emerging Markets Multi-Asset Income 1 20 1 21 HSBC GIF Global Equity Climate Change 0 12 0 06 HSBC GIF Global Equity Dividend 0 27 0 21 HSBC GIF Global Equity Volatility
The HSBC GIF Global Bond Total Return Fund provides upside participation with downside mitigation through on-going opportunity assessment and decoupling investment decisions from particular sectorial biases Historical Drawdowns of Global High Yield Emerging Markets and SecuritisedFixed Income
Global high yield spreads also rose from 5 58 to 5 78 over the month Helped by the sharp fall in government yields and the strength in the JPY the Barclays Global Aggregate Index measured in USD rose 2 92 in June On a USD-hedged basis the monthly return was 1 90
HSBC Global Asset Management is HSBC’s dedicated investment business It is a multi-specialist asset management firm offering broad highly diverse strategies and as of September 2020 manages USD571 5 billion in assets for institutional and individual investors around the world
HSBC Global Investment Funds GLOBAL SHORT DURATION HIGH YIELD BOND Monthly report31 March 2023 Share class IC Past performance does not predict future returns The figures are calculated in the share class base currency dividend reinvested net of fees Source: HSBC Asset Management data as at 31 March 2023 Performance Fund Reference
HSBC GIF Global High Yield Bond Optimal risk-adjusted returns driven by issuer selection • HSBC GIF Global High Yield Bond aims to maximize total return through specialized credit selection and top-down strategic positioning With a portfolio of 200+ non-investment grade bonds the fund offers exposure to a broad range