IMPORTANT RISK WARNINGS / NOTES
  • Please CLICK HERE and read carefully the summary of the key features and risks specific to this fund stated in the factsheet prepared by the relevant fund house before making any investment decision.
  • Investors should note that all investments involve risks (including the possibility of loss of the capital invested), prices of fund units may go up as well as down and past performance information presented is not indicative of future performance.
  • Funds below may invest extensively in financial derivative instruments, thus subject to higher volatility as well as higher credit/counterparty and liquidity risks. Investing in these funds will involve a higher risk of loss of all, or substantial part, of the capital invested.
  • In order to comply with the requirements in relation to investor characterization as set out by Securities and Futures Commission in Hong Kong (the "SFC"), Hang Seng Bank Limited (the "Bank") only accepts customers who have been characterized by the Bank as having general knowledge of the nature and risks of derivatives to subscribe for fund(s) marked with "@" below.
  • Fund(s) marked with "^" are Complex Products as defined under the SFC's Guidelines on Online Distribution and Advisory Platforms and investors should exercise caution in relation to such fund(s).
  • Fund(s) marked with “#” are classified as High Yield Bond Funds by the Bank based on the Bank’s internal assessment and investors should exercise caution in understanding the special features and risks of such fund(s) investing primarily in high-yield debt securities and refer to Notice to Customers for Fund Investing for details.
  • Fixed Term Bond Funds have a fixed maturity date and subscriptions may not be allowed after the respective initial offer period. Redemptions prior to the maturity date may be subject to a downward price adjustment and investors may be redeeming at a lower redemption price (including switching-out of the Fund effected by redemption). Switching/redemption of fixed term bond funds before their maturity date may undermine investors' investment returns. The principal repaid before maturities of the underlying investments may be re-invested in shorter-dated debt securities or cash or cash equivalents, which may result in lower interest income and returns, if any, to the fund. Liquidation of the fund's underlying investments prematurely to meet substantial redemptions may adversely affect the value and return, if any, of the fund. Substantial redemptions during the term of the fund may render the size of the fund to shrink significantly and trigger the fund to be terminated earlier. Neither the distributions nor the capital of the fund is guaranteed. Please read carefully and understand the relevant fund's offering documents, including the fund details and full text of the risk factors stated therein, in detail before making any investment decision.
  • Fund(s) marked with "~" are not authorised by the SFC and are only made available to Professional Investors as defined under the Securities and Futures Ordinance.

Investors should not rely solely on the information contained on this webpage to make investment decisions. Investors should read carefully and understand the relevant fund's offering documents (including the fund details and full text of the risk factors stated therein (in particular those associated with investments in emerging markets for funds investing in emerging markets)) before making any investment decision.


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FUND INFORMATION

HSBC GIF GLOBAL EMERGING MARKETS EQUITY CLASS AD (USD) (MIP) U43792
Not available for Subscription Available for Subscription in SimplyFund Account
Dealing Restriction
This fund is a Complex Product as defined under the SFC’s Guidelines on Online Distribution and Advisory Platforms and investors should exercise caution in relation to this fund.
This fund is not authorized by the SFC and is only made available to Professional Investors as defined under the Securities and Futures Ordinance.
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Unit Price
Change vs Previous Trading Day (%)
Last Update
Fund Size
Risk Level2
Investment
Tenor
Dividend
Policy
Type of Investment
Return
Morningstar
Overall Rating
-0.12%
02-04-2025
USD 414,503,991.45
4
≥ 1 Year(s) 0 Month(s)
Inc (Unit)
3
OOffering Documents
Product Features - Investment Objective and Strategy
The Fund aims to provide long term capital growth and income by investing in a portfolio of emerging market shares, while promoting environmental, social and governance (ESG) characteristics. The Fund is actively managed. In normal market conditions, the Fund will invest at least 90% of its assets in shares (or securities similar to shares) of companies of any size that are based in, emerging markets. The Fund includes the identification and analysis of a company’s ESG Credentials as an integral part of the investment decision making process to reduce risk and enhance returns. The Fund will not invest in shares issued by companies with involvement in specific excluded activities, such as, companies involved in the production controversial weapons and tobacco; companies with more than 10% revenue generated from thermal coal extraction; and companies with more than 10% revenue generated from coal-fired power generation. The Fund conducts enhanced due diligence on companies that are considered to be non-compliant with the UN Global Compact Principles. The Fund may invest up to 40% in China A and China B-shares, up to 10% in Real Estate Investment Trusts, up to 10% in other funds and up to 15% in convertible securities. See the Prospectus for a full description of the investment objectives and derivative usage.
Fund Portfolio as of 31-01-2025
Asset Allocation
Stock
Bond
Cash
Other
97.76
0.00
2.03
0.21
Total Number of Equity Holdings 45
Total Number of Bond Holdings 0
Equity Holdings Geographical Allocation
Equity Holdings Sector Allocation
Performance History
Cumulative return (initial value = 0%). The returns were calculated based on the principle of NAV-to-NAV or Bid-to-Bid in the class currency of the relevant fund, with reinvestment of all dividends (if any).




as of 31-03-2025
Return(%)
Cumulative as of 02-04-2025
YTD
1W
1M
3M
6M
1Y
Fund Performance
4.82
-2.87
0.09
5.54
-4.15
6.83
Sector Average
3.14
-1.64
1.35
3.60
12,279.32
6.00
Annualised
3Y
5Y
10Y
15Y
Fund Performance
-2.41
6.20
2.71
0.98
Sector Average
0.79
7.43
2.87
2.06
Calendar Year
2024
2023
2022
2021
2020
Fund Performance
6.99
4.79
-23.95
-5.82
24.43
Sector Average
6.21
10.33
-21.90
-2.36
17.69
Fee Information
Subscription Fee
4.50%
Switching Handling Fee
1%
View OfferView Offer
Management Fee
1.500% p.a
Redemption Fee
0.00%
Performance Fee
-
Incentive Fee
-
Other Fund Information
Launch Date
11-11-1994
Fund Type
Equity
Fund Category
Emerging Market Equity
Investment Market Sector
Global Emerging Markets Equity
Dealing Freqeuncy/ Dealing Cut-off Time
One Dealing Session per Dealing Day/HKT 16:00
Fund House
HSBC Global Asset Management (Hong Kong) Limited
Fund Manager
Edward Conroy
Fund Manager Start Date
01-07-2020
Biography
-

Fund Manager
Helen King
Fund Manager Start Date
01-07-2020
Biography
-

Fund Manager
Stephanie Wu
Fund Manager Start Date
01-07-2020
Biography
Stephanie Wu is a portfolio manager in the Global Emerging Markets Equity team within HSBC Global Asset Management in London and has been working in the financial industry since 1994. Stephanie is responsible for the Asian investments in HSBC Asset Management’s multi regional strategies including GEM and BRIC. She is also responsible for managing the EM High Conviction strategy. Prior to joining HSBC in 2006, Stephanie was a portfolio manager at Invesco Asset Management and F&C Asset Management where she was responsible for Asian Equities. Stephanie holds a BSc and MSc in Economics from the London School of Economics (UK).

Fund Manager
Michael Wang
Fund Manager Start Date
02-01-2024
Biography
-
Morningstar Rating as of 28-02-2025
Overall Rating
3-year Rating
5-year Rating
10-year Rating
Fund Price Information as of 02-04-2025
Fund price movement is calculated on bid to bid/NAV to NAV basis in fund class currency(USD).
Unit Price
NAV
USD 17.591
Bid Price
-
Offer Price
-
52 Weeks Low-high
USD 15.701-18.618
Equity Valuation as of 31-01-2025
Price/Prospective Earnings
12.75
Price/Cash Flow
4.83
Price/Book
2.04
Fund Volatility as of 31-03-2025
1-Yr Sharpe Ratio
0.23
1-Yr Std Dev
12.00
1-Yr Annualised Return
7.24%
3-Yr Sharpe Ratio
-0.28
3-Yr Std Dev
18.87
3-Yr Annualised Return
-2.41%
This fund is a Complex Product as defined under the SFC’s Guidelines on Online Distribution and Advisory Platforms and investors should exercise caution in relation to this fund.
This fund is not authorized by the SFC and is only made available to Professional Investors as defined under the Securities and Futures Ordinance.





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IMPORTANT MATTERS

Investors should note that all investments involve risks (including the possibility of loss of the capital invested), prices or value of investment fund units may go up as well as down and past performance information presented is not indicative of future performance. In a worst case scenario, the value may be worth substantially less than the invested amount. Investment may involve substantial market, volatility, liquidity, regulatory and political risks. Funds invested in a limited number of markets, sectors or companies will be subject to higher risk and are more sensitive to price movements.

Investors should read carefully and understand the relevant offering documents of the investment funds (including the fund details and full text of the risk factors stated therein) and the Notice to Customers for Fund Investing before making any investment decision. Investment funds are investment products and some may involve derivatives. Investors should carefully consider their own circumstances whether an investment is suitable for them in view of their own investment objectives, investment experience, preferred investment tenor, financial situation, risk tolerance abilities, tax implications and other needs, etc., and should understand the nature, terms and risks of the investment products. Investors should obtain independent professional advice if they have concerns about their investment.

Funds may invest extensively in financial derivative instruments, thus subject to higher volatility as well as higher credit/counterparty and liquidity risks. Investing in these funds will involve a higher risk of loss of all, or substantial part, of the capital invested. 

In order to comply with the requirements in relation to investor characterization as set out by Securities and Futures Commission in Hong Kong (the "SFC"), Hang Seng Bank Limited (the "Bank") only accepts customers who have been characterized by the Bank as having general knowledge of the nature and risks of derivatives to subscribe for fund(s) marked with "@".

Fund(s) marked with "^" are Complex Products as defined under the SFC's Guidelines on Online Distribution and Advisory Platforms and investors should exercise caution in relation to such fund(s).

Fixed Term Bond Funds have a fixed maturity date and subscriptions may not be allowed after the respective initial offer period. Redemptions prior to the maturity date may be subject to a downward price adjustment and investors may be redeeming at a lower redemption price (including switching-out of the Fund effected by redemption). Switching/redemption of fixed term bond funds before their maturity date may undermine investors' investment returns. The principal repaid before maturities of the underlying investments may be re-invested in shorter-dated debt securities or cash or cash equivalents, which may result in lower interest income and returns, if any, to the fund. Liquidation of the fund's underlying investments prematurely to meet substantial redemptions may adversely affect the value and return, if any, of the fund. Substantial redemptions during the term of the fund may render the size of the fund to shrink significantly and trigger the fund to be terminated earlier. Neither the distributions nor the capital of the fund is guaranteed. Please read carefully and understand the relevant fund's offering documents, including the fund details and full text of the risk factors stated therein, in detail before making any investment decision.

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