HSBC Portfolios - World Selection 2 AMHGBP
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General Objective
The Fund aims to provide long term capital growth and income by investing in a portfolio of bonds and shares, applying a low to medium risk investment strategy.
Fund Exposure
The Fund's exposure includes bonds, shares, and alternative investment strategies such as real estate, private equity, hedge fund strategies, and commodities. It invests in bonds issued by government, government-related entities, supranational entities, and companies in developed and emerging markets, denominated in USD or developed markets currencies hedged into USD. The Fund also invests in shares issued by companies of any size, either directly or through other funds.
Risks
The Fund may have exposures to non-investment grade and unrated bonds, alternative investment strategies, and derivatives. Additionally, the Fund's primary currency exposure is to USD, and it is actively managed without being constrained by a benchmark. Investors planning to withdraw their money within a period of 5 years may find this Fund not appropriate.