HSBC Asset Management Variable Fund invests invests in equities carefully chosen by fundamental analysis along with corporate and government funds.
HSBC Asset Management Variable Fund
Investment purpose of the fund is to maintain its investors a stabilized return in long term. Since it is a variable fund, portfolio diversification is provided by means of investing equities, corporate and government bonds and has less volatility than equity intensified funds. This mutual fund is suitable for investors who want to benefit equity along with fixed income returns.
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