HSBC Global Strategy Cautious Portfolio Income C header image

HSBC Global Strategy Cautious Portfolio Income C

Fund

ISIN GB00B84L8664 / Valor 20274025

NAV (2026-09-08)
GBP 1.36-0.07%

HSBC Global Strategy Cautious Portfolio Income C
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The HSBC Global Strategy Cautious Portfolio is designed for long-term growth with a low-risk approach. It holds a diversified mix of global investments, prioritizing bonds to maintain its cautious risk level. At least half of the portfolio is invested in other funds, including those that track market indices and encompass a variety of assets such as company shares, bonds, and real estate. The remaining investments are made directly into different asset types, ensuring a balanced and globally spread investment strategy aimed at steady growth while carefully managing risk.

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Tags:
bonds global strategy

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OTHER SHARE CLASSES OF THIS FUND

HSBC Global Strategy Cautious Portfolio Accumulation C
HSBC Global Strategy Cautious Portfolio Accumulation C HSBC Global Strategy Cautious Portfolio Accumulation C Valor: 20270584
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Annual Return

-50%0%+50%

Risk level

110
-0.08%GBP 1.70
HSBC Global Strategy Cautious Portfolio Retail X Accumulation
HSBC Global Strategy Cautious Portfolio Retail X Accumulation HSBC Global Strategy Cautious Portfolio Retail X Accumulation Valor: 14320954
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Annual Return

-50%0%+50%

Risk level

110
-0.07%GBP 1.66