HSBC Global Investment Funds - Multi-Strategy Target Return
Estrategia de inversión
The sub-fund targets annualized returns of 3 month EURIBOR plus 4% (gross of annual ongoing charges) over a rolling three-year period. The sub-fund aims to achieve this with annualised volatility of 6-8% over a rolling three-year period. There is no guarantee that the return or volatility target will be achieved and an investor may not get back the full amount initially invested. The sub-fund employs multiple, complementary strategies (the “Strategies”) and may invest across a diversified range of asset classes on a global basis, including Emerging Markets. Asset classes include equity, fixed income, currency; cash and money market instruments; and other UCITS eligible asset classes. The Strategies employed by the sub-fund may include long-only strategies as well as long/short strategies seeking to exploit differences in expected returns within a given asset class while having little or no exposure to the return of the asset class.
Comisiones
Otras clases
Nombre | ISIN | Comisión |
---|---|---|
HSBC Global Investment Funds - Multi-Strategy Target Return IC | LU1574280472 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return IC | LU1574280472 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return IC | LU1574280472 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return IC | LU1574280472 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return IC | LU1574280472 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return ID | LU1574280555 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return ID | LU1574280555 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return ID | LU1574280555 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return ID | LU1574280555 | 0,76 % |
HSBC Global Investment Funds - Multi-Strategy Target Return ID | LU1574280555 | 0,76 % |
Rentabilidad por períodos
Período |
Acumulada |
Anualizada |
---|---|---|
Año actual
|
-1,07% | - |
30 días
|
0,91% | - |
6 meses
|
-2,13% | - |
12 meses
|
-2,72% | - |
2 años
|
-0,09% | -0,05% |
3 años
|
6,16% | 2,01% |
5 años
|
9,38% | 1,81% |
Rentabilidad por trimestres
Año | T1 | T2 | T3 | T4 |
---|
Rentabilidad mensual
Rentabilidad de los últimos 12 meses
Cartera
# |
Posición |
Peso |
Valor |
---|---|---|---|
1
|
Germany (Federal Republic Of) 0.2%
|
21,99%
|
24.157.720€
|
2
|
France (Republic Of) 0%
|
16,40%
|
18.020.199€
|
3
|
France (Republic Of) 0%
|
14,21%
|
15.605.910€
|
4
|
2 Year Treasury Note Future Sept 22
|
8,95%
|
9.834.413€
|
5
|
Ultra 10 Year US Treasury Note Future Sept 22
|
8,29%
|
9.112.590€
|
6
|
Trs M Soc 17/02/2023 L Bcom Index
|
4,92%
|
5.399.691€
|
7
|
Gold Bullion Securities ETC
|
4,22%
|
4.640.107€
|
8
|
HSBC GIF GEM ESG Local Debt ZC
|
3,97%
|
4.362.725€
|
9
|
United Kingdom of Great Britain and Northern Ireland 0.125%
|
3,65%
|
4.007.586€
|
10
|
HSBC GIF Euro High Yield Bond ZC
|
3,60%
|
3.955.865€
|
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