HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend EC header image

HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend EC

Fund

ISIN LU0197775025 / Valor 1919259

NAV (2025-01-21)
USD 30.43+0.15%

HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend EC
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Der HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend EC, bezeichnet durch seine ISIN LU0197775025, verzeichnete einen Nettoinventarwert (NAV) von 30.43 USD am 2025-01-21. Diese Zahl entspricht einer Bewertungsänderung von +0.15% gegenüber dem letzten NAV-Bericht. Für weitere Informationen über das interaktive Performance-Diagramm des Fonds, die wichtigsten Bestände, Merkmale, Anteilsklassendetails und wichtige Anlegerdokumente sollten sich die Nutzer in ihr Konto einloggen, wo sie detaillierte und objektive Finanzdaten abrufen können.

Tags:
esg msci ac asia pacific ex japan asien-pazifik

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WEITERE ANTEILSKLASSEN DIESES FONDS

HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend ICEUR
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend ICEUR HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend ICEUR Valor: 12932212
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.15%EUR 25.30
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BSGBP
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BSGBP HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BSGBP Valor: 20020727
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.10%GBP 18.10
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AC
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AC HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AC Valor: 1919256
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.15%USD 33.16
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend ZS
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend ZS HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend ZS Valor: 1919253
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.15%USD 23.45
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend IC
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend IC HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend IC Valor: 1919263
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.15%USD 33.41
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AS
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AS HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend AS Valor: 1919246
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.15%USD 22.20
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend XD
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend XD HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend XD Valor: 55897714
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.16%USD 12.20
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BCEUR EUR
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BCEUR EUR HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BCEUR EUR
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.16%EUR 12.64
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend XDEUR
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend XDEUR HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend XDEUR Valor: 56486622
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.16%EUR 11.40
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BDEUR
HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BDEUR HSBC Global Investment Funds - Asia Pacific ex Japan Equity High Dividend BDEUR
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Jährliche Rendite

-50%0%+50%

Risiko-Level

110
0.15%EUR 12.33