HSBC Global Responsible Multi-Asset Cautious Portfolio Income C header image

HSBC Global Responsible Multi-Asset Cautious Portfolio Income C

Fund

ISIN GB00BLKQCZ36 / Valor null

NAV (2026-08-28)
GBP 1.02-0.02%

HSBC Global Responsible Multi-Asset Cautious Portfolio Income C
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The HSBC Global Responsible MA Cautious Port is a globally diversified fund focused on sustainable investments, including bonds, equities of responsible companies, property, and cash. At least 40% of its assets are invested in other funds that follow sustainable strategies, ensuring a balanced portfolio across various asset classes and international markets. This approach aims to achieve long-term growth while maintaining a cautious risk level aligned with responsible investment principles.

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Sustainable multi asset

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OTHER SHARE CLASSES OF THIS FUND

HSBC Global Responsible Multi-Asset Cautious Portfolio Accumulation C
HSBC Global Responsible Multi-Asset Cautious Portfolio Accumulation C HSBC Global Responsible Multi-Asset Cautious Portfolio Accumulation C
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Annual Return

-50%0%+50%

Risk level

110
-0.03%GBP 1.10
HSBC Global Responsible Multi-Asset Cautious Portfolio Accumulation P
HSBC Global Responsible Multi-Asset Cautious Portfolio Accumulation P HSBC Global Responsible Multi-Asset Cautious Portfolio Accumulation P
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Annual Return

-50%0%+50%

Risk level

110
-0.02%GBP 1.11