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Multi Asset Funds

Smart solutions for our customers investment needs.

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 Cautious Variable Fund (First Variable)

Investment purpose of the mutual fund is to obtain return on Turkish Lira basis. That’s why fund portfolio consists mainly government bonds and treasury bills, corporate bonds and lease certificates denominated in Turkish Lira. Fund diversifies its portfolio by investing in equities traded both domestically and internationally and bonds denominated in foreign currency, and aims to reach above risk free return in middle and long term. Fund may invest in futures contracts in order to hedge market and currency risk and to increase return in good market conditions. Fund targets to obtain return in long term, therefore it may not be suitable for investors who want to liquidate their positions in less than one year. Fluctuations in prices of fixed income securities may affect fund price.

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HSBC Asset Management Multi Asset Balanced Variable Fund (Second Variable)

Investment purpose of the fund is to obtain capital growth more that short term bonds in long term by investing in various assets from various markets. Fund invests in various investment instruments, but mainly in those denominated in Turkish Lira. Fund may invest in equities, corporate bonds and commodities with purposes of increasing return and hedging and also in other mutual funds and exchange traded funds (ETF). Fund targets to obtain return in long term, therefore it may not be suitable for investors who want to liquidate their positions in less than one year. Fluctuations in prices of fixed income securities may affect fund price.

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HSBC Asset Management Multi Asset Dynamic Variable Fund (Third Variable)

Investment purpose of the fund is to obtain capital growth more that mid-term bonds in long term by investing in various assets from various markets. Fund invests in various investment instruments, but mainly in those denominated in Turkish Lira. Fund may invest in equities, corporate bonds and commodities and also in foreign securities with purposes of increasing return and hedging. Also fund may invest in other mutual funds and exchange traded funds (ETF). Fund targets to obtain return in long term, therefore it may not be suitable for investors who want to liquidate their positions in less than one year. Fund price may be affected from fluctuations in prices of fixed income securities and in various instruments and markets since it invests in both local and international instruments.

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