HSBC Global Responsible Multi-Asset Conservative Portfolio Accumulation C GBP
Fund
ISIN GB00BF1H4H99 / Valor null
NAV (2025-11-21)
GBP 1.32-0.36%
HSBC Global Responsible Multi-Asset Conservative Portfolio Accumulation C GBP
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HSBC Global Responsible MA Cons Port seeks long-term growth by investing primarily in a globally diversified mix of sustainable assets. At least 60% of the fund is allocated to other funds that include bonds, company shares, and property, all selected based on sustainable investment principles. Additionally, the portfolio holds cash to maintain balance. This approach ensures exposure to various asset types across global markets, all aligned with sustainability goals to support growth over a period of five years or more.
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Sustainablemsci worldmulti asset
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HSBC Global Responsible Multi-Asset Conservative Portfolio Income C GBP
HSBC Global Responsible Multi-Asset Conservative Portfolio Income C GBP
HSBC Global Responsible Multi-Asset Conservative Portfolio Income C GBP
Annual Return
-50%0%+50%
Risk level
110
-0.37%GBP 1.21
HSBC Global Responsible Multi-Asset Conservative Portfolio Accumulation P GBP
HSBC Global Responsible Multi-Asset Conservative Portfolio Accumulation P GBP
HSBC Global Responsible Multi-Asset Conservative Portfolio Accumulation P GBP