HSBC GLOBAL INVESTMENT FUNDS - ASIA HIGH YIELD BOND S40M2/  LU2439745428  /

Fonds
NAV10/31/2024 Chg.+0.0250 Type of yield Investment Focus Investment company
7.0160USD +0.36% paying dividend Bonds Asia HSBC Inv. Funds (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2022 - - - - -3.49 -8.24 -3.23 1.28 -5.38 -8.07 12.68 6.40 -
2023 6.28 -2.83 -2.55 -1.02 -5.35 1.57 -2.42 -5.68 0.89 -0.90 4.54 2.42 -5.65%
2024 2.62 0.75 1.20 -0.92 2.84 1.32 1.67 0.72 1.87 -1.07 - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 5.27% 5.01% 5.30% -% -%
Sharpe ratio 2.07 2.48 3.07 - -
Best month +2.84% +2.84% +4.54% +12.68% -
Worst month -1.07% -1.07% -1.07% -8.24% -
Maximum loss -1.73% -1.56% -1.73% - -
Outperformance - - - - -
 
All quotes in USD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
HSBC GIF Asia High Yield Bond IC... reinvestment 7.9600 +20.02% -16.08%
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 7.8390 +20.92% -14.14%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.1810 +18.45% -17.30%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.1190 +19.32% -17.65%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.1080 +18.49% -18.00%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.0930 +16.60% -22.67%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.0620 +17.12% -21.13%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.0800 +16.42% -20.95%
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 7.7090 +17.18% -20.17%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 4,632.8491 +6.26% -29.89%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 4.7220 +19.05% -16.83%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 4.8400 +16.95% -19.76%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.2720 +20.40% -15.76%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.4530 +20.91% -
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 4.7520 +15.79% -34.09%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 4,686.2070 +14.20% -35.84%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 4.6830 +16.10% -21.27%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.0630 +18.20% -18.62%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.0240 +16.84% -21.63%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 4.7370 +17.42% -18.65%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.4110 +18.31% -
HSBC GIF Asia High Yield Bond ZQ... paying dividend 5.0020 +18.78% -23.47%
HSBC GIF Asia High Yield Bond XC... reinvestment 6.6840 +18.11% -20.73%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.7370 +20.17% -15.69%
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 6.3090 +15.17% -24.75%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 7.0160 +19.35% -
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 9.3350 +20.19% -
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 8.0200 +20.20% -
HSBC GIF Asia High Yield Bond AC... reinvestment 7.6800 +19.14% -17.90%
HSBC GIF Asia High Yield Bond BC... reinvestment 7.5450 +19.90% -16.33%
HSBC GIF Asia High Yield Bond BD... paying dividend 5.3530 +19.89% -16.29%
HSBC GIF Asia High Yield Bond BD... paying dividend 4.9300 +17.96% -21.27%
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 6.9710 +17.16% -22.72%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 6.4960 +17.13% -20.07%
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 6.6140 +14.25% -26.05%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 5.1020 +14.89% -24.76%

Performance

YTD  
+11.48%
6 Months  
+7.53%
1 Year  
+19.35%
3 Years     -
5 Years     -
10 Years     -
Since start
  -7.28%
Year
2023
  -5.65%
 

Dividends

9/27/2024 0.06 USD
8/29/2024 0.06 USD
7/31/2024 0.06 USD
6/28/2024 0.06 USD
5/29/2024 0.06 USD
4/24/2024 0.06 USD
3/27/2024 0.06 USD
2/29/2024 0.07 USD
1/31/2024 0.07 USD
12/28/2023 0.06 USD
11/30/2023 0.07 USD
10/31/2023 0.07 USD
9/27/2023 0.07 USD
8/30/2023 0.07 USD
7/27/2023 0.07 USD
6/27/2023 0.07 USD
5/31/2023 0.07 USD
4/28/2023 0.08 USD
3/29/2023 0.08 USD
2/28/2023 0.09 USD
1/31/2023 0.09 USD
12/29/2022 0.09 USD
11/30/2022 0.08 USD
10/28/2022 0.07 USD
9/30/2022 0.09 USD
8/26/2022 0.10 USD
7/27/2022 0.09 USD
6/30/2022 0.11 USD