Multi asset funds are designed specifically for investors who wants to diversify their portfolio with a single investment instrument and who have different risk profile.
- Diversified portfolios with global assets
- Creating portfolios in line with changing market conditions with active portfolio management
- Access to HSBC's global market experience
HSBC Asset Management Multi Asset First Variable Fund (HPO)
Multi-Asset First Variable Fund aims to achieve long-term capital growth by investing in a diversified portfolio of capital market instruments, primarily Turkish Lira-denominated fixed income securities.
Key Features
- The primary objective of the Fund is to generate interest income in TRL terms.
- The Fund portfolio comprises predominantly TRL-denominated Treasury Bills and Government Bonds, private sector debt instruments and lease certificates.
- The Fund’s return objectives are long term. Therefore, it may not be suitable investment instrument for investors who prone to redeem their investments in a short period. The Fund may invest in local and global Exchange Traded Funds(ETFs).
- Fund may invest in futures contracts in order to hedge against market and currency risk or to increase return in favourable market conditions. The Multi-Asset First Variable Fund invest in various asset classes based on predefined risk criteria.
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