a guaranteed distributions of 5% each of the initial offer price will be distributed at the end of the first 6-month and 12-month.
offers a 100% capital guarantee at maturity plus an opportunity to receive additional potential return from year 2 onwards linked to the average absolute return of the 4 least volatile stocks in a stock basket, comprising 30 global stocks.
the investment period will last for at least 2 years and at most 10 years. From year 2 to year 10, the Fund will also distribute to potential return linked to the absolute return of the 4 least volatile stocks. In additional, the Fund will automatically mature at the relevant year end when the average absolute return (since inception) of the 4 least volatile stocks reaches or exceeds a trigger level of 40%.
Note: Emerging markets can be significantly more volatile than developed markets, so that the value of investments may be subject to larger fluctuations. Currency movement and market condition may affect the value of investments. Price of the Fund may have high volatility due to investment in financial derivative instruments and may involve a greater degree of risk than in the case with conventional securities.
^ Remarks on price details and fund performance: Guaranteed Funds: The performance data is based on NAV to NAV excluding dividend distribution. Money Market Funds : The performance data is based on NAV to NAV price with dividend reinvested. Other Funds : The performance data is based on Bid to Bid price with dividend reinvested. For investment performance not denominated in HKD or USD. HKD or USD based investors are exposed to exchange rate fluctuations. Source : HSBC Global Asset Management (Hong Kong) Limited. All rights reserved.
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