HSBC GLOBAL INVESTMENT FUNDS - MANAGED SOLUTIONS - ASIA FOCUSED INCOME AM2HKD/  LU0762542818  /

Fonds
NAV31/10/2024 Chg.-0.0190 Type of yield Investment Focus Investment company
8.3490HKD -0.23% paying dividend Mixed Fund Asia/Pacific ex Japan HSBC Inv. Funds (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2021 - 0.80 -0.39 0.45 0.68 -1.60 -2.72 1.41 -1.53 -1.70 -1.49 1.78 -5.62%
2022 -1.74 -2.05 -1.99 -3.37 -0.46 -5.33 -0.83 -0.76 -4.73 -7.00 9.96 1.42 -16.48%
2023 5.77 -3.42 1.44 -0.41 -2.18 1.06 1.32 -2.46 -1.79 -2.09 4.24 3.59 +4.69%
2024 -1.21 1.62 1.37 -0.96 1.61 2.27 0.81 1.45 3.79 -3.19 - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 7.22% 7.77% 7.21% 8.18% -%
Sharpe ratio 0.86 1.40 1.83 -0.57 -
Best month +3.79% +3.79% +4.24% +9.96% -
Worst month -3.19% -3.19% -3.19% -7.00% -
Maximum loss -4.53% -4.53% -4.53% -25.50% -
Outperformance - - - - -
 
All quotes in HKD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
HSBC GLOBAL INVESTMENT FUNDS - M... paying dividend 7.6470 +13.89% -8.71%
HSBC GLOBAL INVESTMENT FUNDS - M... paying dividend 8.3490 +16.23% -4.80%
HSBC GLOBAL INVESTMENT FUNDS - M... reinvestment 12.0550 +15.14% -7.89%
HSBC GLOBAL INVESTMENT FUNDS - M... reinvestment 10.5350 +17.13% -5.14%
HSBC GLOBAL INVESTMENT FUNDS - M... reinvestment 9.3830 +15.04% -11.04%
HSBC GLOBAL INVESTMENT FUNDS - M... reinvestment 12.9130 +17.49% -4.28%
HSBC GLOBAL INVESTMENT FUNDS - M... paying dividend 8.3380 +16.97% -14.47%
HSBC GLOBAL INVESTMENT FUNDS - M... paying dividend 7.2190 +15.36% -16.53%
HSBC GLOBAL INVESTMENT FUNDS - M... paying dividend 7.2770 +15.04% -16.46%
HSBC GLOBAL INVESTMENT FUNDS - M... paying dividend 7.4960 +14.85% -16.52%

Performance

YTD  
+7.64%
6 Months  
+6.79%
1 Year  
+16.23%
3 Years
  -4.80%
5 Years     -
10 Years     -
Since start
  -11.18%
Year
2023  
+4.69%
2022
  -16.48%
2021
  -5.62%
 

Dividends

27/09/2024 0.04 HKD
29/08/2024 0.04 HKD
31/07/2024 0.03 HKD
28/06/2024 0.04 HKD
29/05/2024 0.04 HKD
24/04/2024 0.04 HKD
27/03/2024 0.04 HKD
29/02/2024 0.04 HKD
31/01/2024 0.04 HKD
28/12/2023 0.04 HKD
30/11/2023 0.04 HKD
31/10/2023 0.04 HKD
27/09/2023 0.04 HKD
30/08/2023 0.04 HKD
27/07/2023 0.04 HKD
27/06/2023 0.04 HKD
31/05/2023 0.04 HKD
28/04/2023 0.04 HKD
29/03/2023 0.04 HKD
28/02/2023 0.04 HKD
31/01/2023 0.04 HKD
29/12/2022 0.05 HKD
30/11/2022 0.04 HKD
28/10/2022 0.04 HKD
03/10/2022 0.04 HKD
26/08/2022 0.04 HKD
27/07/2022 0.04 HKD
04/07/2022 0.04 HKD
25/05/2022 0.04 HKD
28/04/2022 0.04 HKD
30/03/2022 0.04 HKD
25/02/2022 0.04 HKD
28/01/2022 0.04 HKD
30/12/2021 0.04 HKD
30/11/2021 0.04 HKD
29/10/2021 0.04 HKD
30/09/2021 0.03 HKD
27/08/2021 0.04 HKD
30/07/2021 0.03 HKD
30/06/2021 0.03 HKD
28/05/2021 0.03 HKD
28/04/2021 0.03 HKD
31/03/2021 0.03 HKD
26/02/2021 0.03 HKD
28/01/2021 0.03 HKD