HSBC Global Strategy Dynamic Portfolio Class C Acc

Essentials Portfolio Analysis Background Data Investment Risk Performance View PDF Factsheet
Portfolio data accurate as at:

Performance

Discrete performance - to last month end

31/03/20
to
31/03/21
31/03/21
to
31/03/22
31/03/22
to
31/03/23
31/03/23
to
31/03/24
31/03/24
to
31/03/25
Fund 29.8% 11.5% -4.7% 16.1% 4.2%
Sector 21.8% 4.0% -4.6% 9.6% 3.5%
Rank 32/147 6/184 98/186 12/202 67/205
Quartile 1 1 3 1 2

Annualised performance

Annualised
3 Years to
31/03/25
5 Years to
31/03/25
10 Years to
31/03/25
Fund 4.8% 10.8% 8.2%
Sector 2.7% 6.5% 4.2%
Rank 24/186 17/147 1/88
Quartile 1 1 1

Top 10 Holdings

Stock % Weight
HSBC ETF HSBC FTSE EPRA/NAREIT DEV UCITS ETF - 7.53
APPLE 3.19
ICF Long Gilt Future JUN 2025 2.92
MICROSOFT CORPORATION 2.79
NVIDIA CORPORATION 2.72
AMAZON.COM 1.83
MFM IBEX 35 INDX FUTR Mar25 1.79
META PLATFORMS 1.27
ALPHABET INC 0.99
SSE OMXS30 IND FUTURE Mar25 0.90
Total 25.93

Fund Aims

To provide capital growth through investment in a broad range of asset classes across global markets, with a bias towards equities.This is one of a range of actively managed Global Strategy Portfolios offered at five different risk levels. The Fund is rated as 4, where 1 is a lower level of risk and 5 is a higher level of risk. The Fund is managed with the aim of maximising returns in line with its agreed long term risk profile therefore any potential gains are likely to be limited by the risk profile of the Fund.To achieve its objective the Fund invests primarily in collective investment schemes, including exchange traded funds, which aim to track the performance of market indices. Such assets shall, in turn, invest in equities, fixed interest securities and property securities that make up the relevant index.The collective investment schemes that the Fund invests in will, where possible, be those managed or operated by the ACD or an associate of the ACD. Where this is not possible the Fund may invest in collective investment schemes operated by third party fund providers.The Fund may also invest directly in equities, fixed interest securities and property securities where exposure to an asset class can be adequately achieved with a relatively low number of holdings. The Fund may also invest in money market instruments, deposits and cash to manage day-to-day cash flow requirements.Additionally, the Fund may use exchange traded and over the counter derivatives and forward currency contracts for efficient portfolio management, including hedging, purposes and for investment purposes. Investing in derivatives for investment purposes means, in particular, maintaining positions in these investments for the long term rather than just for tactical short-term purposes.

Fund Manager

HSBC AMG Multi Asset Team manager for 6 years and 6 months

Photo of HSBC AMG Multi Asset Team N/A

Fund Overview

Mid (17/04/2025) 313.70p
Historic yield 1.74%
Fund size (28/02/2025) £3097.51m
Number of holdings 11034
Entry Charge 0.00%
Ongoing Charges 0.22%
Launch date 17/10/2011

Asset Allocation

pie chart
  International Equities 66.95%
  International Bonds 8.66%
  Property 8.32%
  Cash and Equivalents 4.96%
  UK Equities 1.60%
  UK Corporate Bonds 0.52%
  Investment Trusts 0.01%
  Alternative Trading Strategies -2.67%
  Other Assets 11.64%
Portfolio data accurate as at: 28/02/25

Important Information

Source of portfolio data: Broadridge. Source of performance data: FE fundinfo. We can’t predict the future. Past performance isn’t a guide to future performance. The figures shown are intended only to demonstrate performance history of the fund, after allowing for the impact of ongoing charges, but take no account of product charges. Ongoing charges may vary in the future and may be higher than they are now. Fund performance is based upon the movement of the daily price and is shown as total return in GBP with income reinvested. The value of your client’s investment can go down as well as up and the amount your client gets back may be less than they put in.

This factsheet is for investment professionals and is for information purposes only. You should refer to your client's policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges. Every care has been taken in populating this output, however it must be appreciated that neither Broadridge, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from its usage.

Portfolio data accurate as at:

Asset Allocation

pie chart
  International Equities 66.95%
  International Bonds 8.66%
  Property 8.32%
  Cash and Equivalents 4.96%
  UK Equities 1.60%
  UK Corporate Bonds 0.52%
  Investment Trusts 0.01%
  Alternative Trading Strategies -2.67%
  Other Assets 11.64%

Sector Breakdown

Expand allCollapse all
Industry Supersector Sector Subsector
 
Technology 20.05% - - -
 
Technology - 20.05% - -
 
Technology Hardware & Equipment - - 10.33% -
 
Semiconductors - - - 5.58%
 
Computer Hardware - - - 3.50%
 
Production Technology Equipment - - - 0.81%
 
Electronic Components - - - 0.37%
 
Electronic Office Equipment - - - 0.06%
 
Software & Computer Services - - 9.73% -
 
Software - - - 5.00%
 
Consumer Digital Services - - - 4.02%
 
Computer Services - - - 0.70%
 
Non-Classified 19.25% - - -
 
Non-Classified - 9.61% - -
 
Non-Classified - - 9.61% -
 
Non-Classified - - - 9.61%
 
Financials 10.09% - - -
 
Banks - 4.75% - -
 
Banks - - 4.75% -
 
Banks - - - 4.75%
 
Financial Services - 3.22% - -
 
Investment Banking & Brokerage Services - - 2.74% -
 
Investment Services - - - 1.05%
 
Diversified Financial Services - - - 0.95%
 
Asset Managers & Custodians - - - 0.74%
 
Finance & Credit Services - - 0.48% -
 
Financial Data & Systems - - - 0.35%
 
Consumer Lending - - - 0.13%
 
Mortgage Finance - - - 0.00%
 
Equity Investment Instruments - - 0.01% -
 
Equity Investment Instruments - - - 0.01%
 
Insurance - 2.11% - -
 
Non-life Insurance - - 1.53% -
 
Property & Casualty Insurance - - - 0.60%
 
Full Line Insurance - - - 0.50%
 
Insurance Brokers - - - 0.27%
 
Reinsurance - - - 0.15%
 
Life Insurance - - 0.58% -
 
Life Insurance - - - 0.58%
 
Consumer Discretionary 10.00% - - -
 
Retail - 4.17% - -
 
Retailers - - 4.17% -
 
Diversified Retailers - - - 3.12%
 
Home Improvement Retailers - - - 0.52%
 
Apparel Retailers - - - 0.32%
 
Specialty Retailers - - - 0.21%
 
Automobiles & Parts - 1.87% - -
 
Automobiles & Parts - - 1.87% -
 
Automobiles - - - 1.66%
 
Auto Parts - - - 0.15%
 
Tires - - - 0.06%
 
Auto Services - - - 0.00%
 
Consumer Products & Services - 1.82% - -
 
Personal Goods - - 0.82% -
 
Clothing & Accessories - - - 0.40%
 
Footwear - - - 0.18%
 
Luxury Items - - - 0.14%
 
Cosmetics - - - 0.11%
 
Leisure Goods - - 0.44% -
 
Electronic Entertainment - - - 0.19%
 
Consumer Electronics - - - 0.15%
 
Recreational Vehicles & Boats - - - 0.04%
 
Recreational Products - - - 0.02%
 
Toys - - - 0.02%
 
Photography - - - 0.00%
 
Consumer Services - - 0.33% -
 
Consumer Services: Misc. - - - 0.24%
 
Vending & Catering Service - - - 0.06%
 
Education Services - - - 0.02%
 
Rental & Leasing Services: Consumer - - - 0.01%
 
Household Goods & Home Construction - - 0.23% -
 
Home Construction - - - 0.17%
 
Household Appliance - - - 0.03%
 
Household Equipment & Products - - - 0.03%
 
Household Furnishings - - - 0.00%
 
Travel & Leisure - 1.31% - -
 
Travel & Leisure - - 1.31% -
 
Restaurants & Bars - - - 0.48%
 
Travel & Tourism - - - 0.34%
 
Hotels & Motels - - - 0.18%
 
Airlines - - - 0.15%
 
Casinos & Gambling - - - 0.12%
 
Recreational Services - - - 0.04%
 
Media - 0.84% - -
 
Media - - 0.84% -
 
Entertainment - - - 0.56%
 
Publishing - - - 0.15%
 
Media Agencies - - - 0.09%
 
Radio & TV Broadcasters - - - 0.05%
 
Bonds 9.18% - - -
 
Industrials 8.89% - - -
 
Industrial Goods & Services - 8.02% - -
 
Industrial Support Services - - 2.41% -
 
Transaction Processing Services - - - 1.47%
 
Professional Business Support Services - - - 0.58%
 
Industrial Suppliers - - - 0.20%
 
Business Training & Employment Agencies - - - 0.11%
 
Security Services - - - 0.03%
 
Forms & Bulk Printing Services - - - 0.01%
 
General Industrials - - 1.48% -
 
Diversified Industrials - - - 1.18%
 
Paints & Coatings - - - 0.13%
 
Containers & Packaging - - - 0.11%
 
Plastics - - - 0.05%
 
Glass - - - 0.01%
 
Aerospace & Defence - - 1.18% -
 
Aerospace - - - 0.90%
 
Defense - - - 0.28%
 
Industrial Transportation - - 1.07% -
 
Railroads - - - 0.32%
 
Delivery Services - - - 0.20%
 
Transportation Services - - - 0.17%
 
Commercial Vehicles & Parts - - - 0.14%
 
Marine Transportation - - - 0.10%
 
Trucking - - - 0.06%
 
Commercial Vehicle-Equipment Leasing - - - 0.05%
 
Railroad Equipment - - - 0.04%
 
Electronic & Electrical Equipment - - 1.01% -
 
Electrical Components - - - 0.49%
 
Electronic Equipment: Gauges & Meters - - - 0.19%
 
Electronic Equipment: Control & Filter - - - 0.18%
 
Electronic Equipment: Pollution Control - - - 0.07%
 
Electronic Equipment: Other - - - 0.07%
 
Industrial Engineering - - 0.88% -
 
Machinery: Industrial - - - 0.30%
 
Machinery: Construction & Handling - - - 0.29%
 
Machinery: Agricultural - - - 0.12%
 
Machinery: Tools - - - 0.09%
 
Machinery: Engines - - - 0.07%
 
Machinery: Specialty - - - 0.01%
 
Construction & Materials - 0.87% - -
 
Construction & Materials - - 0.87% -
 
Building Materials: Other - - - 0.25%
 
Building: Climate Control - - - 0.20%
 
Construction - - - 0.15%
 
Cement - - - 0.14%
 
Engineering & Contracting Services - - - 0.09%
 
Building, Roofing/Wallboard & Plumbing - - - 0.03%
 
Health Care 6.83% - - -
 
Health Care - 6.83% - -
 
Pharmaceuticals & Biotechnology - - 3.92% -
 
Pharmaceuticals - - - 3.57%
 
Biotechnology - - - 0.36%
 
Medical Equipment & Services - - 1.99% -
 
Medical Equipment - - - 1.52%
 
Medical Supplies - - - 0.42%
 
Medical Services - - - 0.05%
 
Health Care Providers - - 0.92% -
 
Health Care Management Services - - - 0.71%
 
Health Care Facilities - - - 0.14%
 
Health Care Services - - - 0.07%
 
Cash and Equivalents 4.96% - - -
 
Consumer Staples 3.39% - - -
 
Food, Beverage & Tobacco - 1.95% - -
 
Food Producers - - 0.83% -
 
Food Products - - - 0.72%
 
Farming, Fishing, Ranching & Plantations - - - 0.06%
 
Fruit & Grain Processing - - - 0.05%
 
Beverages - - 0.82% -
 
Soft Drinks - - - 0.57%
 
Brewers - - - 0.17%
 
Distillers & Vintners - - - 0.08%
 
Tobacco - - 0.31% -
 
Tobacco - - - 0.31%
 
Personal Care, Drug & Grocery Stores - 1.44% - -
 
Personal Care, Drug & Grocery Stores - - 1.44% -
 
Personal Products - - - 0.79%
 
Food Retailers & Wholesalers - - - 0.35%
 
Drug Retailers - - - 0.22%
 
Nondurable Household Products - - - 0.09%
 
Energy 2.53% - - -
 
Energy - 2.53% - -
 
Non-Renewable Energy - - 2.43% -
 
Integrated Oil & Gas - - - 1.20%
 
Oil: Crude Producers - - - 0.43%
 
Oil Refining and Marketing - - - 0.37%
 
Pipelines - - - 0.21%
 
Oil Equipment & Services - - - 0.12%
 
Coal - - - 0.06%
 
Offshore Drilling & Other Services - - - 0.04%
 
Renewable Energy - - 0.10% -
 
Renewable Energy Equipment - - - 0.10%
 
Basic Materials 2.01% - - -
 
Basic Resources - 1.08% - -
 
Industrial Metals & Mining - - 0.85% -
 
General Mining - - - 0.39%
 
Iron & Steel - - - 0.26%
 
Copper - - - 0.08%
 
Metal Fabricating - - - 0.06%
 
Aluminum - - - 0.04%
 
Nonferrous Metals - - - 0.03%
 
Precious Metals & Mining - - 0.15% -
 
Gold Mining - - - 0.13%
 
Platinum & Precious Metals - - - 0.02%
 
Diamonds & Gemstones - - - 0.00%
 
Industrial Materials - - 0.08% -
 
Paper - - - 0.06%
 
Diversified Materials - - - 0.02%
 
Forestry - - - 0.01%
 
Chemicals - 0.93% - -
 
Chemicals - - 0.93% -
 
Chemicals: Diversified - - - 0.55%
 
Specialty Chemicals - - - 0.31%
 
Fertilizers - - - 0.05%
 
Chemicals & Synthetic Fibers - - - 0.02%
 
Telecommunications 2.00% - - -
 
Telecommunications - 2.00% - -
 
Telecommunications Service Providers - - 1.23% -
 
Telecommunications Services - - - 1.08%
 
Cable Television Services - - - 0.15%
 
Telecommunications Equipment - - 0.77% -
 
Telecommunications Equipment - - - 0.77%
 
Utilities 1.95% - - -
 
Utilities - 1.95% - -
 
Electricity - - 1.29% -
 
Conventional Electricity - - - 1.21%
 
Alternative Electricity - - - 0.08%
 
Gas, Water & Multi-utilities - - 0.55% -
 
Multi-Utilities - - - 0.39%
 
Gas Distribution - - - 0.09%
 
Water - - - 0.07%
 
Waste & Disposal Services - - 0.11% -
 
Waste & Disposal Services - - - 0.11%
 
Real Estate 1.53% - - -
 
Real Estate - 1.53% - -
 
Real Estate Investment Trusts - - 1.13% -
 
Retail REITs - - - 0.18%
 
Other Specialty REITs - - - 0.18%
 
Infrastructure REITs - - - 0.14%
 
Residential REITs - - - 0.14%
 
Industrial REITs - - - 0.13%
 
Health Care REITs - - - 0.12%
 
Diversified REITs - - - 0.08%
 
Storage REITs - - - 0.05%
 
Hotel & Lodging REITs - - - 0.04%
 
Office REITs - - - 0.03%
 
Timber REITs - - - 0.02%
 
Real Estate Investment & Services - - 0.40% -
 
Real Estate Holding and Development - - - 0.30%
 
Real Estate Services - - - 0.10%
 
Alternative Trading Strategies -2.67% - - -
 
Alternative Trading Strategies - -2.67% - -
 
Alternative Trading Strategies - - -2.67% -
 
Alternative Trading Strategies - - - -2.67%

Regional Allocation

pie chart
  North America 49.72%
  Developed Europe - Excl UK 11.15%
  Non-Classified 9.59%
  Property 8.24%
  Emerging Asia 6.40%
  Cash and Equivalents 4.96%
  Japan 3.91%
  UK 2.12%
  Australia & New Zealand 1.51%
  Other Regions 2.40%

Fixed Interest Currencies

pie chart
  Non-Fixed Interest Assets 85.85%
  US Dollar 6.40%
  Cash 4.96%
  Euro 2.05%
  Pound Sterling 0.30%
  Canadian Dollar 0.25%
  Other Currencies 0.18%

Regional Breakdown

Expand allCollapse all
Region Country
 
North America 49.72% -
 
United States - 49.34%
 
Canada - 0.38%
 
Developed Europe - Excl UK 11.15% -
 
France - 2.13%
 
Switzerland - 1.82%
 
Germany - 1.67%
 
Netherlands - 1.45%
 
Ireland - 1.09%
 
Sweden - 0.63%
 
Spain - 0.61%
 
Italy - 0.55%
 
Denmark - 0.46%
 
Finland - 0.20%
 
Luxembourg - 0.17%
 
Belgium - 0.16%
 
Norway - 0.12%
 
Austria - 0.06%
 
Portugal - 0.02%
 
Liechtenstein - 0.00%
 
Non-Classified 9.59% -
 
Property 8.24% -
 
Emerging Asia 6.40% -
 
China - 1.89%
 
India - 1.65%
 
Taiwan - 1.49%
 
South Korea - 0.91%
 
Indonesia - 0.15%
 
Thailand - 0.14%
 
Malaysia - 0.13%
 
Philippines - 0.05%
 
Cash and Equivalents 4.96% -
 
Japan 3.91% -
 
Japan - 3.91%
 
UK 2.12% -
 
United Kingdom - 2.13%
 
Jersey - 0.00%
 
Australia & New Zealand 1.51% -
 
Australia - 1.46%
 
New Zealand - 0.05%
 
Developed Asia 0.82% -
 
Hong Kong - 0.58%
 
Singapore - 0.24%
 
Middle East & Africa 0.79% -
 
Saudi Arabia - 0.32%
 
South Africa - 0.24%
 
United Arab Emirates - 0.10%
 
Qatar - 0.07%
 
Kuwait - 0.06%
 
Egypt - 0.01%
 
South & Central America 0.56% -
 
Brazil - 0.34%
 
Mexico - 0.16%
 
Chile - 0.05%
 
Colombia - 0.01%
 
Peru - 0.00%
 
Emerging Europe 0.22% -
 
Poland - 0.10%
 
Turkey - 0.05%
 
Greece - 0.04%
 
Hungary - 0.02%
 
Czech Republic - 0.01%
 
Croatia - 0.00%
 
Russian Federation - 0.00%

Asset Allocation

pie chart
  HSBC FTSE All-Share Index Fund Retail Inc 15.61%
  HSBC European Index Fund Retail Inc 15.44%
  HSBC American Index Fund Retail Inc 14.77%
  HSBC MSCI Emerging Markets ETF (GBP) 13.68%
  HSBC Pacific Index Fund Inc 8.94%
  HSBC Japan Index Fund Inc 5.10%
  Other Assets 11.92%

Breakdown By Market Cap (%)

Mega
 
 
48.71%
Large
 
 
12.71%
Medium
 
 
3.02%
Small
 
 
0.03%
Micro
 
 
0.02%
Non-Classified
 
 
21.36%
Bonds
 
 
9.18%
Cash
 
 
4.96%

Top 10 Fund Holdings

Name % Weight Sector Country
1 HSBC American Index Class AC 32.06% Managed Funds Managed Funds
2 HSBC ETF HSBC S&P 500 UCITS ETF - 13.68% Managed Funds Managed Funds
3 HSBC ETF HSBC MSCI Emerging Markets UCITS ETF - 8.51% Managed Funds Managed Funds
4 HSBC Global Government Bond Index Class ZQH 8.44% Managed Funds Managed Funds
5 HSBC European Index Class AC 8.27% Managed Funds Managed Funds
6 HSBC Global Sterling Liquidity Funds PLC Inc 8.05% Managed Funds Managed Funds
7 HSBC ETF HSBC FTSE EPRA/NAREIT DEV UCITS ETF - 7.53% Managed Funds Managed Funds
8 HSBC Japan Index Class A 3.90% Managed Funds Managed Funds
9 ICF Long Gilt Future JUN 2025 2.92% Non-Classified Non-Classified
10 HSBC FTSE 100 Index Class I 2.81% Managed Funds Managed Funds

Top 10 Holdings

Stock % Weight Sector Country
1 HSBC ETF HSBC FTSE EPRA/NAREIT DEV UCITS ETF - 7.53% Non-Classified Direct Property and REITs
2 APPLE 3.19% Technology Hardware & Equipment United States
3 ICF Long Gilt Future JUN 2025 2.92% Non-Classified Non-Classified
4 MICROSOFT CORPORATION 2.79% Software & Computer Services United States
5 NVIDIA CORPORATION 2.72% Technology Hardware & Equipment United States
6 AMAZON.COM 1.83% Retailers United States
7 MFM IBEX 35 INDX FUTR Mar25 1.79% Non-Classified Non-Classified
8 META PLATFORMS 1.27% Software & Computer Services United States
9 ALPHABET INC 0.99% Software & Computer Services United States
10 SSE OMXS30 IND FUTURE Mar25 0.90% Non-Classified Non-Classified

Dual Aspect Equity Analysis

UK Equities Int'l Equities UK Bonds Int'l Bonds UK Gilts Property Other Cash & Equiv Total
Technology 0.02% 20.03% - - - - - - 20.05%
Telecommunications 0.04% 1.96% - 0.02% - - - - 2.02%
Financials 0.26% 9.82% - 0.03% - - 0.02% - 10.13%
Real Estate 0.01% 0.73% - - - 0.79% - - 1.53%
Consumer Discretionary 0.25% 9.76% - 0.01% - - 0.03% - 10.04%
Consumer Staples 0.26% 3.13% - - - - 0.02% - 3.42%
Energy 0.21% 2.32% - - - - - - 2.53%
Utilities 0.10% 1.85% - - - - - - 1.95%
Health Care 0.13% 6.70% - - - - 0.01% - 6.83%
Industrials 0.19% 8.70% - - - - 0.03% - 8.92%
Basic Materials 0.14% 1.87% - - - - 0.01% - 2.02%
Cash and Equivalents - - - - - - - 4.96% 4.96%
Bonds - - 0.52% 8.60% - - - - 9.12%
Non-Classified 0.01% 0.07% - - - 7.53% 8.87% - 16.48%

Important Information

The Industry Classification Benchmark is a product of FTSE International Limited and has been licensed for use.

This factsheet is for investment professionals and is for information purposes only. You should refer to your client's policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges. Every care has been taken in populating this output, however it must be appreciated that neither Broadridge, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from its usage.

Identification Codes

Sedol Code B849DT8
Mex Code DDHS36
Isin Code GB00B849DT80
Citi Code G1HH

Fund Charges

Entry Charge 0.00%
Ongoing Charges 0.22%

Aims and Benchmark

Aims To provide capital growth through investment in a broad range of asset classes across global markets, with a bias towards equities.This is one of a range of actively managed Global Strategy Portfolios offered at five different risk levels. The Fund is rated as 4, where 1 is a lower level of risk and 5 is a higher level of risk. The Fund is managed with the aim of maximising returns in line with its agreed long term risk profile therefore any potential gains are likely to be limited by the risk profile of the Fund.To achieve its objective the Fund invests primarily in collective investment schemes, including exchange traded funds, which aim to track the performance of market indices. Such assets shall, in turn, invest in equities, fixed interest securities and property securities that make up the relevant index.The collective investment schemes that the Fund invests in will, where possible, be those managed or operated by the ACD or an associate of the ACD. Where this is not possible the Fund may invest in collective investment schemes operated by third party fund providers.The Fund may also invest directly in equities, fixed interest securities and property securities where exposure to an asset class can be adequately achieved with a relatively low number of holdings. The Fund may also invest in money market instruments, deposits and cash to manage day-to-day cash flow requirements.Additionally, the Fund may use exchange traded and over the counter derivatives and forward currency contracts for efficient portfolio management, including hedging, purposes and for investment purposes. Investing in derivatives for investment purposes means, in particular, maintaining positions in these investments for the long term rather than just for tactical short-term purposes.
Benchmark Not Benchmarked
Benchmark Category -
IA Sector Volatility Managed

Fund Background

Valuation frequency Daily
Valuation point 12:00
Fund type OEIC
Launch price £1.00
Fund currency Pound Sterling
Fund domicile United Kingdom
ISA allowable Yes
SIPP allowable Yes

Distribution Details

Income frequency Annually
Distribution Type No income
Distribution Payment Basis Net

Ratings

FE Crown Crown Rating of 3

Effect of Deductions

Assuming a growth rate of 6.00% Assuming a growth rate of 7.00%
- -

Fund Administration

Fund Trustee/Depository State Street Trustees Limited
Fund Administrator HSBC Global Asset Management (UK) Limited
Fund Registrar State Street Trustees Limited
Fund Custodian HSBC Global Asset Management (UK) Limited

Group Details

Group name HSBC Asset Management (Fund Services UK)
Group address 1st Floor 78 St James's Street London SW1A 1EJ
Group telephone 0800 181 890
Dealing telephone 0845 7456126
Email adviser.services@hsbc.com
Homepage www.assetmanagement.hsbc.com/uk
Fax number 020 7024 1989

Dealing

Minimum Investment -
Minimum Top Up -
Minimum Regular Saving -
Settlement Period: Buy 3 days
Settlement Period: Sell 3 days
Pricing Basis Forward
Dealing Decimals 2

Important Information

Ongoing charges may vary in the future and may be higher than they are now.

This factsheet is for investment professionals and is for information purposes only. You should refer to your client's policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges. Every care has been taken in populating this output, however it must be appreciated that neither Broadridge, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from its usage.

Risk Analysis

Ratio Value
Alpha 1.79
Beta 1.12
Sharpe 0.15
Standard Deviation 8.91
Info Ratio 0.64

Risk Factors

Risk Factor Yes / No
Charges to Capital No
Emerging Markets Yes
Concentrated Portfolio No
Smaller Companies No
High Yield Bonds Yes
Sector Specific No
Geared Investments Yes
Value of Investments Yes
Investments Long Term Yes
Property No
Exchange Rate Yes
Higher Risk No
Performance Charges No
Derivative Exposure Yes
Offshore No
Income Eroding Capital Growth No
Umbrella Liabilities Yes
New Fund No
Solvency of Depository No
Solvency of Bond Issuers No
Ethical Restrictions No
Liquidity Yes
Returns Are Not Guaranteed Yes
Inflation Yes
Taxation and Tax Relief Yes

Fund Specific Risks

Emerging Markets

The fund invests in emerging markets. Generally less well regulated than the UK. There is an increased chance of political and economic instability with less reliable custody, dealing and settlement arrangements. The market(s) can be less liquid. If a fund investing in markets is affected by currency exchange rates, the investment could either increase or decrease. These investments therefore carry more risk.

High Yield Bonds

The fund invests in high yield bonds. High yield bonds carry a greater risk of default than investment grade bonds, and economic conditions and interest rate movements will have a greater effect on their price. Income levels may not be achieved and the income provided may vary.

Geared Investments

The fund focuses on geared investments. Funds which focus on geared investments such as warrants or options carry a higher degree of risk than other equity investments because of the risk of the underlying investments. It is possible that the fund may suffer sudden and large falls in value so that the short fall on cancellation, or the loss of the realisation on the investment at any time after the investor has bought the contract, could be very high and could even equal the amount invested, in which case you would get nothing back.

Value of Investments

The value of investments, and any income can fall, as well as rise, so you could get back less than you invested. Neither capital nor income is guaranteed.

Investments Long Term

Investments should be regarded as long term and are not suitable for money which may be needed in the short term, you should always have a sufficient cash reserve.

Exchange Rate

This fund invests in securities outside the UK. The value of investments and any income from them may therefore decrease or increase as a result of changes in exchange rates between currencies.

Derivative Exposure

The fund invests in derivatives as part of its investment strategy, over and above their use for Efficient Portfolio Management (EPM). Investors should be aware that the use of these instruments can, under certain circumstances, increase the volatility and risk profile of the Fund beyond that expected of a fund that only invests in equities. The fund may also be exposed to the risk that the company issuing the derivative may not honour their obligations which in turn could lead to losses arising.

Umbrella Liabilities

If the liabilities of one fund were to exceed its assets, the other funds within the scheme might have to transfer across money to cover the liabilities.

Liquidity

This fund can suffer from partial or total illiquidity, which may lead to considerable price fluctuations and the inability to redeem your investment.

Returns Are Not Guaranteed

What you receive when you sell your investment is not guaranteed; it depends on how your investments perform.

Inflation

Inflation will reduce the real value of your investments in future.

Taxation and Tax Relief

Levels of taxation and tax relief are subject to change.

Important Information

The risk factor definitions are provided by Broadridge. These definitions may differ from those of Prudential or any underlying fund manager. The data itself is provided by Prudential or the underlying fund manager.

This factsheet is for investment professionals and is for information purposes only. You should refer to your client's policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges. Every care has been taken in populating this output, however it must be appreciated that neither Broadridge, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from its usage.

Important Information

Source of performance data: FE fundinfo. Please remember that past performance is not a reliable indicator of future performance. The figures shown are intended only to demonstrate performance history of the fund and take no account of product charges. Fund Performance is based upon the movement of the daily price and is shown as total return in GBP with net income reinvested. The value of your client's investment may go down as well as up and the fund value may be less than the payments your client has made. Please also note that our charges may vary in the future and may be higher than they are now.

This factsheet is for investment professionals and is for information purposes only. You should refer to your client's policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges. Every care has been taken in populating this output, however it must be appreciated that neither Broadridge, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from its usage.

"Prudential" is a trading name of The Prudential Assurance Company Limited, which is registered in England and Wales. Registered office at 10 Fenchurch Avenue, London EC3M 5AG. Registered number 15454. Authorised by the Prudential Regulation Authority and regulated by the Financial Conduct Authority and the Prudential Regulation Authority.