Investmentfonds: HSBC Asset Management

Die Werte und Ergebnisse werden von der SpA zur Verfügung gestellt. Klicken Sie auf den Namen des Fonds, um die Analyse-Übersicht mit den täglich aktualisierten Daten zu öffnen.

*Renditen in Euro zum 01/10/2020 Die Werte von 3Y und 5Y sind annualisiert.

Name des Fonds Wertpapiere
einfügen
ISIN 1M* 1Y* 3Y* 5Y* Währung
HGIF ASIA BOND ACAnleihen Asya Pazifik LU1436995101 1.4% -1.71% 4.87% 0% USD
HGIF ASIA BOND ICAnleihen Asya Pazifik LU1436995523 1.46% -1.06% 5.54% 0% USD
HGIF ASIA BOND IDHEURAnleihen Asya Pazifik LU1436996257 -0.77% 3.21% 0% 0% EUR
HGIF ASIA EX JAPAN EQ SMALLER CIES ACAktien Asya Pazifik - Mid Small Cap LU0164939612 1.49% 6.74% -3.84% 5.57% USD
HGIF ASIA EX JAPAN EQ SMALLER CIES ACEURAktien Asya Pazifik - Mid Small Cap LU0622164845 1.49% 6.74% -3.84% 5.57% EUR
HGIF ASIA EX JAPAN EQ SMALLER CIES ADAktien Asya Pazifik - Mid Small Cap LU0082770016 1.49% 6.74% -3.85% 5.56% USD
HGIF ASIA EX JAPAN EQ SMALLER CIES ICAktien Asya Pazifik - Mid Small Cap LU0164939885 1.56% 7.65% -3.02% 6.47% USD
HGIF ASIA EX JAPAN EQ SMALLER CIES IDAktien Asya Pazifik - Mid Small Cap LU0149726845 1.56% 7.65% -3.03% 6.46% USD
HGIF ASIA EX JAPAN EQ SMALLER CIES XCAktien Asya Pazifik - Mid Small Cap LU0404496472 1.58% 7.78% -2.9% 6.6% USD
HGIF ASIA EX JAPAN EQ SMALLER CIES ZCAktien Asya Pazifik - Mid Small Cap LU0164899485 1.64% 8.51% -3.89% 5.78% USD
HGIF ASIA EX JAPAN EQUITY ACAktien Asya Pazifik Ex Japan LU0165289439 -1.31% 10.79% 4.88% 10.07% USD
HGIF ASIA EX JAPAN EQUITY ACEURAktien Asya Pazifik Ex Japan LU0622164928 -1.31% 10.79% 4.88% 0% EUR
HGIF ASIA EX JAPAN EQUITY ACOEURAktien Asya Pazifik Ex Japan LU0212851702 -3.48% 15.17% 1.5% 8.34% EUR
HGIF ASIA EX JAPAN EQUITY ADAktien Asya Pazifik Ex Japan LU0043850808 -1.31% 10.78% 4.88% 10.07% USD
HGIF ASIA EX JAPAN EQUITY ADOEURAktien Asya Pazifik Ex Japan LU0212851884 -3.48% 15.16% 1.5% 8.34% EUR
HGIF ASIA EX JAPAN EQUITY BCAktien Asya Pazifik Ex Japan LU0954269139 -1.26% 11.62% 0% 0% USD
HGIF ASIA EX JAPAN EQUITY BCOEURAktien Asya Pazifik Ex Japan LU1679008950 -3.41% 16.13% 0% 0% EUR
HGIF ASIA EX JAPAN EQUITY ICAktien Asya Pazifik Ex Japan LU0165193169 -1.24% 11.74% 5.78% 11.01% USD
HGIF ASIA EX JAPAN EQUITY IDAktien Asya Pazifik Ex Japan LU0149712548 -1.24% 11.71% 5.77% 11% USD
HGIF ASIA EX JAPAN EQUITY ZCAktien Asya Pazifik Ex Japan LU0164880972 -1.17% 12.64% 6.62% 11.88% USD
HGIF ASIA PACIF EX JAPAN EQ HIGH DVD ACAktien Asya Pazifik Ex Japan LU0197773160 -3.25% -2.49% 2.91% 7.94% USD
HGIF ASIA PACIF EX JAPAN EQ HIGH DVD ASAktien Asya Pazifik Ex Japan LU0197773673 -3.25% -3.43% 2.11% 7.44% USD
HGIF ASIA PACIF EX JAPAN EQ HIGH DVD ICAktien Asya Pazifik Ex Japan LU0197774135 -3.18% -1.66% 3.79% 8.87% USD
HGIF ASIA PACIF EX JAPAN EQ HIGH DVD ICEURAktien Asya Pazifik Ex Japan LU0622165578 -3.18% -1.66% 3.79% 8.87% EUR
HGIF ASIA PACIF EX JAPAN EQ HIGH DVD XCAktien Asya Pazifik Ex Japan LU0404495821 -3.17% -1.54% 0% 0% USD
HGIF ASIAN CURRENCIES BOND ACAnleihen Asya Pazifik LU0210635099 1.57% -2.19% 3.54% 2.73% USD
HGIF ASIAN CURRENCIES BOND ACEURAnleihen Asya Pazifik LU0712166163 1.58% -2.18% 3.54% 2.73% EUR
HGIF ASIAN CURRENCIES BOND ADAnleihen Asya Pazifik LU0210635255 1.58% -2.17% 3.53% 2.72% USD
HGIF ASIAN CURRENCIES BOND IDAnleihen Asya Pazifik LU0210635842 1.65% -1.46% 4.29% 3.48% USD
HGIF ASIAN CURRENCIES BOND IDEURAnleihen Asya Pazifik LU0643830515 1.64% -1.47% 4.28% 3.47% EUR
HGIF BRAZIL BOND ACAnleihen Emerging Markets Lateinamerika LU0254978488 -0.87% -25.95% -8.53% 6.33% USD
HGIF BRAZIL BOND ADAnleihen Emerging Markets Lateinamerika LU0254979023 -0.86% -25.87% -8.52% 6.3% USD
HGIF BRAZIL BOND ICAnleihen Emerging Markets Lateinamerika LU0254980898 -0.81% -25.51% -7.98% 6.97% USD
HGIF BRAZIL BOND ZCAnleihen Emerging Markets Lateinamerika LU0254991150 0.41% -20.87% -6.41% 0% USD
HGIF BRAZIL EQUITY ACAktien Brasil LU0196696453 -4.95% -38.14% -11.56% 4.38% USD
HGIF BRAZIL EQUITY ACEURAktien Brasil LU0551369712 -4.94% -38.13% -11.56% 4.37% EUR
HGIF BRAZIL EQUITY ADAktien Brasil LU0196696701 -4.94% -38.12% -11.55% 4.38% USD
HGIF BRAZIL EQUITY ICAktien Brasil LU0196697857 -4.87% -37.52% -10.69% 5.4% USD
HGIF BRAZIL EQUITY IDAktien Brasil LU0196698236 -4.87% -37.51% -10.68% 5.4% USD
HGIF BRAZIL EQUITY ZCAktien Brasil LU0196698665 -4.79% -36.92% -9.85% 6.37% USD
HGIF BRIC EQUITY ACAktien Emerging Markets - BRIC LU0449509016 -3.14% -12.18% 1.23% 11.13% USD
HGIF BRIC EQUITY ADAktien Emerging Markets - BRIC LU0449509289 -3.14% -12.19% 1.23% 11.13% USD
HGIF BRIC EQUITY ICAktien Emerging Markets - BRIC LU0449509958 -3.07% -11.44% 2.09% 12.08% USD
HGIF BRIC EQUITY ICEURAktien Emerging Markets - BRIC LU0551368318 -3.07% -11.43% 2.09% 12.08% EUR
HGIF BRIC EQUITY L1CAktien Emerging Markets - BRIC LU0342152195 -3.05% -11.2% 2.36% 12.39% USD
HGIF BRIC EQUITY M1CAktien Emerging Markets - BRIC LU0205170342 -3.1% -11.75% 1.74% 11.69% USD
HGIF BRIC EQUITY M2CAktien Emerging Markets - BRIC LU0214875030 -3.1% -11.75% 1.73% 11.69% USD
HGIF BRIC EQUITY M2DAktien Emerging Markets - BRIC LU0214875626 -3.1% -11.75% 1.74% 11.69% USD
HGIF BRIC MARKETS EQUITY ACAktien Emerging Markets - BRIC LU0254981946 -3.13% -12.16% 1.18% 11.17% USD
HGIF BRIC MARKETS EQUITY ADAktien Emerging Markets - BRIC LU0254982241 -3.14% -12.17% 1.19% 11.17% USD
HGIF BRIC MARKETS EQUITY ICAktien Emerging Markets - BRIC LU0254983488 -3.06% -11.41% 2.04% 12.12% USD
HGIF CHINA CONSUMER OPPORTUNITIES ACAktien Sektor spezifischen - Basiskonsumgüter LU0654082790 -0.66% 0.79% 4.75% 7.17% USD
HGIF CHINA CONSUMER OPPORTUNITIES ADAktien Sektor spezifischen - Basiskonsumgüter LU0654082956 -0.67% 0.79% 4.75% 7.16% USD
HGIF CHINA CONSUMER OPPORTUNITIES ICEURAktien Sektor spezifischen - Basiskonsumgüter LU0708055297 -0.59% 1.65% 5.64% 8.08% EUR
HGIF CHINESE EQUITY ACAktien China LU0164865239 -2.9% 22.69% 7.19% 10.82% USD
HGIF CHINESE EQUITY ACEURAktien China LU0551367260 -2.9% 22.69% 7.19% 10.82% EUR
HGIF CHINESE EQUITY ADAktien China LU0039217434 -2.9% 22.69% 0% 0% USD
HGIF CHINESE EQUITY BCAktien China LU0954270491 -2.84% 23.62% 8% 11.66% USD
HGIF CHINESE EQUITY BDAktien China LU0954270574 -2.83% 23.62% 8% 11.65% USD
HGIF CHINESE EQUITY ICAktien China LU0164867441 -2.83% 23.74% 8.1% 11.77% USD
HGIF CHINESE EQUITY IDAktien China LU0149719717 -2.83% 23.72% 8.1% 11.76% USD
HGIF CHINESE EQUITY ZDAktien China LU0151255600 -2.75% 24.85% 9.05% 12.69% USD
HGIF Economic Scale GEM Equity ACAktien Emerging Markets - weltweit LU0819120683 -3.31% -16.2% -3.76% 3.04% USD
HGIF Economic Scale GEM Equity ADAktien Emerging Markets - weltweit LU0819120766 -3.32% -16.21% -3.76% 3.04% USD
HGIF Economic Scale GEM Equity ICAktien Emerging Markets - weltweit LU0819121061 -3.28% -15.9% -3.42% 3.4% USD
HGIF Economic Scale GEM Equity IDAktien Emerging Markets - weltweit LU0819121145 -3.27% -15.91% -3.42% 3.4% USD
HGIF Economic Scale GEM Equity ZCAktien Emerging Markets - weltweit LU0819121574 -3.25% -15.58% -3.06% 3.76% USD
HGIF Economic Scale GEM Equity ZDAktien Emerging Markets - weltweit LU0819121657 -3.25% -15.61% -3.08% 3.74% USD
HGIF Economic Scale Global Equity ACAktien weltweit LU0164941436 -1.12% -10.5% 0.39% 4.6% USD
HGIF Economic Scale Global Equity ADAktien weltweit LU0039216626 -1.12% -10.49% 0.39% 4.6% USD
HGIF Economic Scale Global Equity ICAktien weltweit LU0164942087 -1.08% -10.14% 0.79% 5.02% USD
HGIF Economic Scale Japan Equity ACAktien Japan LU0164882085 2.18% -8.85% -0.05% 3.93% JPY
HGIF Economic Scale Japan Equity ADAktien Japan LU0149724121 2.18% -8.83% -0.04% 3.93% JPY
HGIF Economic Scale Japan Equity PDAktien Japan LU0011818076 2.19% -8.66% 0.15% 4.14% JPY
HGIF Economic Scale US Equity ACAktien USA LU0164902453 -0.88% -8.2% 3.37% 6.66% USD
HGIF Economic Scale US Equity ACHEURAktien USA LU0166156926 -3.11% -4.61% 0.13% 5.05% EUR
HGIF Economic Scale US Equity ADAktien USA LU0149725797 -0.89% -8.19% 3.37% 6.66% USD
HGIF Economic Scale US Equity ADHEURAktien USA LU0168404597 -3.11% -4.61% 0.13% 5.05% EUR
HGIF Economic Scale US Equity ICAktien USA LU0164902883 -0.85% -7.83% 3.78% 7.09% USD
HGIF Economic Scale US Equity IDAktien USA LU0149725441 -0.85% -7.83% 3.79% 7.09% USD
HGIF Economic Scale US Equity PDAktien USA LU0011818662 -0.87% -8.01% 3.58% 6.88% USD
HGIF EMERGING WEALTH ACAktien weltweit LU0309123817 -0.82% -0.56% 4.83% 8.27% USD
HGIF EMERGING WEALTH ADAktien weltweit LU0309124039 -0.82% -0.55% 4.84% 8.27% USD
HGIF EURO BOND ACAnleihen Euro LU0165129312 0.83% -0.34% 2.41% 2.28% EUR
HGIF EURO BOND ADAnleihen Euro LU0165129403 0.83% -0.34% 2.41% 2.28% EUR
HGIF EURO BOND ICAnleihen Euro LU0165130088 0.87% 0.14% 2.9% 2.77% EUR
HGIF EURO BOND IDAnleihen Euro LU0165129825 0.87% 0.13% 2.89% 2.77% EUR
HGIF EURO CREDIT BOND ACAnleihen Euro - Unternehmen LU0165124784 0.13% 0% 1.4% 2.1% EUR
HGIF EURO CREDIT BOND ADAnleihen Euro - Unternehmen LU0165124867 0.13% 0.01% 1.4% 2.1% EUR
HGIF EURO CREDIT BOND ICAnleihen Euro - Unternehmen LU0165125831 0.17% 0.48% 1.88% 2.58% EUR
HGIF EURO CREDIT BOND IDAnleihen Euro - Unternehmen LU0165125914 0.16% 0.48% 1.88% 2.58% EUR
HGIF EURO CREDIT BOND TOTAL RETURN ACAbsolute Return Anleihen LU0988492970 0.28% -0.56% 0.85% 1.67% EUR
HGIF EURO CREDIT BOND TOTAL RETURN ADAbsolute Return Anleihen LU0988493192 0.29% -0.54% 0.85% 1.67% EUR
HGIF EURO CREDIT BOND TOTAL RETURN ICAbsolute Return Anleihen LU0988493606 0.32% -0.05% 1.35% 2.19% EUR
HGIF EURO CREDIT BOND TOTAL RETURN IDAbsolute Return Anleihen LU0988493788 0.33% -0.05% 1.35% 2.18% EUR
HGIF EURO CREDIT BOND TOTAL RETURN ZCAbsolute Return Anleihen LU0992878610 0.37% 0.48% 1.87% 2.69% EUR
HGIF EURO CREDIT BOND XCAnleihen Euro - Unternehmen LU0374601093 0.19% 0.68% 2.34% 2.94% EUR
HGIF EURO CREDIT BOND XDAnleihen Euro - Unternehmen LU0374601176 0.18% 0.65% 2.06% 2.76% EUR
HGIF EURO CREDIT BOND ZCAnleihen Euro - Unternehmen LU0165108829 0.21% 1% 2.38% 3.06% EUR
HGIF EURO HIGH YIELD BOND ACAnleihen Euro - Hochzins LU0165128348 -0.57% -0.15% 1.75% 3.5% EUR
HGIF EURO HIGH YIELD BOND ADAnleihen Euro - Hochzins LU0165128421 -0.57% -0.15% 1.75% 3.05% EUR
HGIF EURO HIGH YIELD BOND BCAnleihen Euro - Hochzins LU0954271200 -0.52% 0.4% 2.31% 4.07% EUR
HGIF EURO HIGH YIELD BOND BDAnleihen Euro - Hochzins LU0954271382 -0.52% 0.41% 2.32% 4.07% EUR
HGIF EURO HIGH YIELD BOND ICAnleihen Euro - Hochzins LU0165129072 -0.52% 0.45% 2.37% 4.12% EUR
HGIF EURO HIGH YIELD BOND ICHCHFAnleihen Euro - Hochzins LU1209368593 -0.94% 0.61% 3.87% 3.88% CHF
HGIF EURO HIGH YIELD BOND ICHGBPAnleihen Euro - Hochzins LU1209368759 -2.05% -0.96% 2.08% 0.72% GBP
HGIF EURO HIGH YIELD BOND ICHUSDAnleihen Euro - Hochzins LU1209368916 1.7% -3.86% 5.21% 5.38% USD
HGIF EURO HIGH YIELD BOND IDAnleihen Euro - Hochzins LU0165129155 -0.52% 0.45% 2.37% 4.04% EUR
HGIF EURO HIGH YIELD BOND XCAnleihen Euro - Hochzins LU0404498767 -0.51% 0.6% 2.52% 4.28% EUR
HGIF EURO HIGH YIELD BOND ZCAnleihen Euro - Hochzins LU0165093617 -0.46% 1.1% 3% 4.74% EUR
HGIF EUROLAND EQ SMALLER CIES ACAktien Euro - Mid Small Cap LU0165073775 -2.04% -11.07% -5.57% 2.92% EUR
HGIF EUROLAND EQ SMALLER CIES ADAktien Euro - Mid Small Cap LU0165073858 -2.04% -11.07% -5.57% 2.92% EUR
HGIF EUROLAND EQ SMALLER CIES BCAktien Euro - Mid Small Cap LU0954271549 -1.97% -10.4% -4.85% 3.69% EUR
HGIF EUROLAND EQ SMALLER CIES ICAktien Euro - Mid Small Cap LU0165074070 -1.97% -10.31% -4.76% 3.8% EUR
HGIF EUROLAND EQ SMALLER CIES IDAktien Euro - Mid Small Cap LU0165074401 -1.97% -10.3% -4.75% 3.8% EUR
HGIF EUROLAND EQ SMALLER CIES ZCAktien Euro - Mid Small Cap LU0165100255 -1.9% -9.51% -3.95% 4.64% EUR
HGIF EUROLAND EQUITY ACAktien Euro LU0165074666 -3.89% -15.92% -7.57% -0.02% EUR
HGIF EUROLAND EQUITY ADAktien Euro LU0165074740 -3.89% -15.91% -7.56% -0.01% EUR
HGIF EUROLAND EQUITY BCAktien Euro LU0954271465 -3.83% -15.29% 0% 0% EUR
HGIF EUROLAND EQUITY ICAktien Euro LU0165074823 -3.82% -15.21% -6.78% 0.84% EUR
HGIF EUROLAND EQUITY IDAktien Euro LU0165075127 -3.82% -15.18% -6.76% 0.84% EUR
HGIF EUROLAND EQUITY ZCAktien Euro LU0165100685 -3.75% -14.45% -5.98% 1.66% EUR
HGIF EUROLAND GROWTH ACAktien Euro LU0362709346 -1.29% -0.45% 1.56% 6% EUR
HGIF EUROLAND GROWTH ICAktien Euro LU0362711326 -1.22% 0.4% 2.42% 6.9% EUR
HGIF EUROLAND GROWTH M1CAktien Euro LU0213956849 -1.27% -0.2% 1.81% 6.26% EUR
HGIF EUROLAND GROWTH M1DAktien Euro LU0213957060 -1.27% -0.2% 1.81% 6.26% EUR
HGIF EUROLAND GROWTH ZCAktien Euro LU0362711912 -1.15% 1.28% 3.29% 7.76% EUR
HGIF EUROPEAN EQUITY ACAktien Europa LU0164906959 -4.39% -15.59% -6.77% -2.36% EUR
HGIF EUROPEAN EQUITY ADAktien Europa LU0149719808 -4.4% -15.58% -6.76% -2.35% EUR
HGIF EUROPEAN EQUITY ICAktien Europa LU0164907411 -4.33% -14.87% -5.97% -1.52% EUR
HGIF EUROPEAN EQUITY IDAktien Europa LU0149719980 -4.32% -14.85% -5.95% -1.51% EUR
HGIF EUROPEAN EQUITY PDAktien Europa LU0047473722 -4.35% -15.15% -6.29% -1.86% EUR
HGIF FRONTIER MARKETS ACAktien Emerging Markets - weltweit LU0666199749 2.69% -15.85% -6.16% -0.31% USD
HGIF FRONTIER MARKETS ACEURAktien Emerging Markets - weltweit LU0708055370 2.7% -15.85% -6.16% -0.31% EUR
HGIF FRONTIER MARKETS ADAktien Emerging Markets - weltweit LU0666200265 2.61% -16.06% -6.24% -0.32% USD
HGIF FRONTIER MARKETS ADEURAktien Emerging Markets - weltweit LU0717916968 2.69% -15.85% -6.16% -0.31% EUR
HGIF FRONTIER MARKETS ICAktien Emerging Markets - weltweit LU0666200349 2.74% -15.34% -5.59% 0.29% USD
HGIF FRONTIER MARKETS ICEURAktien Emerging Markets - weltweit LU0708055537 2.74% -15.35% -5.59% 0.29% EUR
HGIF FRONTIER MARKETS IDAktien Emerging Markets - weltweit LU0666200695 2.66% -15.55% -5.68% 0.28% USD
HGIF FRONTIER MARKETS XCAktien Emerging Markets - weltweit LU0666200935 2.77% -15.05% -5.26% 0.64% USD
HGIF FRONTIER MARKETS ZDAktien Emerging Markets - weltweit LU0708657266 2.78% -14.46% -4.45% 1.56% USD
HGIF GEM BOND ACAnleihen Emerging Markets weltweit LU0566116140 0.25% -5.91% 0.94% 2.67% USD
HGIF GEM BOND ACEURAnleihen Emerging Markets weltweit LU0551370132 0.24% -5.92% 0.94% 2.67% EUR
HGIF GEM BOND ACHCHFAnleihen Emerging Markets weltweit LU0792945197 -2.51% -1.91% -0.6% 0.92% CHF
HGIF GEM BOND ACHEURAnleihen Emerging Markets weltweit LU0811140721 -1.96% -2.1% -2.2% 1.09% EUR
HGIF GEM BOND ADAnleihen Emerging Markets weltweit LU0566116223 0.25% -5.9% 0.94% 2.67% USD
HGIF GEM BOND ADHEURAnleihen Emerging Markets weltweit LU0543814684 -1.96% -2.08% -2.19% 1.09% EUR
HGIF GEM BOND ICAnleihen Emerging Markets weltweit LU0164944026 0.32% -5.11% 1.8% 3.54% USD
HGIF GEM BOND ICEURAnleihen Emerging Markets weltweit LU0551370306 0.32% -5.11% 1.8% 3.54% EUR
HGIF GEM BOND ICHEURAnleihen Emerging Markets weltweit LU0747734787 -1.89% -1.27% -1.37% 1.95% EUR
HGIF GEM BOND IDAnleihen Emerging Markets weltweit LU0149732736 0.32% -5.09% 1.8% 3.54% USD
HGIF GEM BOND IDEURAnleihen Emerging Markets weltweit LU0551370561 0.32% -5.09% 1.81% 3.55% EUR
HGIF GEM BOND IDHEURAnleihen Emerging Markets weltweit LU0431287282 -1.89% -1.28% -1.37% 1.94% EUR
HGIF GEM BOND PCAnleihen Emerging Markets weltweit LU0164943648 0.27% -5.68% 1.19% 2.92% USD
HGIF GEM BOND PDAnleihen Emerging Markets weltweit LU0099919721 0.28% -5.67% 1.19% 2.92% USD
HGIF GEM BOND XCAnleihen Emerging Markets weltweit LU0404503194 0.33% -4.97% 1.95% 3.71% USD
HGIF GEM BOND XCHEURAnleihen Emerging Markets weltweit LU0473929692 -1.88% -1.19% -1.24% 2.1% EUR
HGIF GEM BOND XDHEURAnleihen Emerging Markets weltweit LU0473929775 -1.88% -1.13% -1.22% 2.1% EUR
HGIF GEM BOND ZCAnleihen Emerging Markets weltweit LU0164900911 0.37% -4.5% 2.42% 4.13% USD
HGIF GEM BOND ZDAnleihen Emerging Markets weltweit LU0151269650 0.38% -4.46% 2.43% 4.13% USD
HGIF GEM BOND ZQ1HEURAnleihen Emerging Markets weltweit LU1135521661 -1.84% -4.8% -4.02% 0.39% EUR
HGIF GEM DEBT TOTAL RETURN BCHEURAbsolute Return Anleihen LU1679025889 -1.41% -0.27% 0% 0% EUR
HGIF GEM DEBT TOTAL RETURN BDHEURAbsolute Return Anleihen LU1679028123 -1.41% -0.25% 0% 0% EUR
HGIF GEM DEBT TOTAL RETURN L1CAbsolute Return Anleihen LU0310511422 0.85% -3.95% 0.36% 1.13% USD
HGIF GEM DEBT TOTAL RETURN L1CEURAbsolute Return Anleihen LU0551372344 0.85% -3.94% 0.36% 0.84% EUR
HGIF GEM DEBT TOTAL RETURN L1CHEURAbsolute Return Anleihen LU0570051812 -1.37% 0.09% -2.7% -0.38% EUR
HGIF GEM DEBT TOTAL RETURN L1DAbsolute Return Anleihen LU0310511695 0.85% -3.94% 0.36% 1.12% USD
HGIF GEM DEBT TOTAL RETURN L1DHEURAbsolute Return Anleihen LU0432931250 -1.38% 0.14% -2.68% -0.38% EUR
HGIF GEM DEBT TOTAL RETURN M1CAbsolute Return Anleihen LU0283739885 0.8% -4.52% -0.24% 0.52% USD
HGIF GEM DEBT TOTAL RETURN M1CEURAbsolute Return Anleihen LU0551372856 0.8% -4.52% -0.24% 0.25% EUR
HGIF GEM DEBT TOTAL RETURN M1CHEURAbsolute Return Anleihen LU0795840619 -1.43% -0.47% -3.26% -0.97% EUR
HGIF GEM DEBT TOTAL RETURN M1DAbsolute Return Anleihen LU0283740032 0.8% -4.51% -0.24% 0.52% USD
HGIF GEM DEBT TOTAL RETURN M1DHEURAbsolute Return Anleihen LU0795840700 -1.43% -0.46% -3.26% -0.97% EUR
HGIF GEM DEBT TOTAL RETURN ZDHEURAbsolute Return Anleihen LU0431286474 -1.33% 0.78% -2.09% 0.19% EUR
HGIF GEM LOCAL CURRENCY RATES ACAnleihen Emerging Markets weltweit LU0992595073 -1.3% -10.29% -2.01% 1.79% USD
HGIF GEM LOCAL CURRENCY RATES ICAnleihen Emerging Markets weltweit LU0992595826 -1.24% -9.63% -1.31% 2.53% USD
HGIF GEM LOCAL CURRENCY RATES ICEURAnleihen Emerging Markets weltweit LU0992597285 -1.17% -9.34% -1.21% 2.64% EUR
HGIF GEM LOCAL DEBT ACAnleihen Emerging Markets weltweit LU0234585437 -0.72% -9.09% -1.96% 0.84% USD
HGIF GEM LOCAL DEBT ACEURAnleihen Emerging Markets weltweit LU0551371379 -0.73% -9.09% -1.96% 0.84% EUR
HGIF GEM LOCAL DEBT ADAnleihen Emerging Markets weltweit LU0234592995 -0.73% -9.09% -1.97% 0.84% USD
HGIF GEM LOCAL DEBT ICAnleihen Emerging Markets weltweit LU0234594009 -0.67% -8.43% -1.25% 1.58% USD
HGIF GEM LOCAL DEBT ICEURAnleihen Emerging Markets weltweit LU0551371700 -0.67% -8.42% -1.25% 1.58% EUR
HGIF GEM LOCAL DEBT IDAnleihen Emerging Markets weltweit LU0234594348 -0.66% -8.42% -1.25% 1.57% USD
HGIF GEM LOCAL DEBT IDEURAnleihen Emerging Markets weltweit LU0551371965 -0.67% -8.42% -1.25% 1.58% EUR
HGIF GEM LOCAL DEBT XCAnleihen Emerging Markets weltweit LU0404504911 -0.65% -8.31% -1.11% 1.74% USD
HGIF GEM LOCAL DEBT XDAnleihen Emerging Markets weltweit LU0404505058 -0.66% -8.3% -1.12% 1.74% USD
HGIF GEM LOCAL DEBT ZCAnleihen Emerging Markets weltweit LU0234594694 -0.61% -7.75% -0.55% 2.26% USD
HGIF GEM LOCAL DEBT ZDAnleihen Emerging Markets weltweit LU0234594850 -0.62% -7.74% -0.56% 2.26% USD
HGIF GLOBAL BOND ACAnleihen weltweit LU0165191387 1.49% -0.42% 3.79% 2.22% USD
HGIF GLOBAL BOND ADAnleihen weltweit LU0039216972 1.49% -0.42% 3.78% 2.22% USD
HGIF GLOBAL BOND ICAnleihen weltweit LU0165191460 1.53% 0.06% 4.28% 2.7% USD
HGIF GLOBAL BOND PDAnleihen weltweit LU0283739703 1.52% -0.17% 4.05% 2.47% USD
HGIF Global Bond Total Return ACAbsolute Return Anleihen LU1163225284 2.45% 0.23% 5.2% 3.06% USD
HGIF GLOBAL CORPORATE BOND ZDAnleihen weltweit - Unternehmen LU1079018765 2.1% -1.73% 5.99% 4.81% USD
HGIF GLOBAL CORPORATE BOND ZQ1Anleihen weltweit - Unternehmen LU1135519335 2.1% -2.42% 5.19% 4.09% USD
HGIF GLOBAL CORPORATE BOND ZQ1HEURAnleihen weltweit - Unternehmen LU1135519764 -0.07% 0.75% 1.22% 2% EUR
HGIF GLOBAL EMERGING MARKETS EQUITY ACAktien Emerging Markets - weltweit LU0164872284 -0.84% 7.48% 3.42% 8.54% USD
HGIF GLOBAL EMERGING MARKETS EQUITY ACEURAktien Emerging Markets - weltweit LU0622167517 -0.84% 7.48% 3.42% 8.54% EUR
HGIF GLOBAL EMERGING MARKETS EQUITY ADAktien Emerging Markets - weltweit LU0054450605 -0.84% 7.47% 3.42% 8.53% USD
HGIF GLOBAL EMERGING MARKETS EQUITY ICAktien Emerging Markets - weltweit LU0164872797 -0.76% 8.4% 4.3% 9.46% USD
HGIF GLOBAL EMERGING MARKETS EQUITY PCAktien Emerging Markets - weltweit LU0449515922 -0.79% 8.02% 3.94% 9.08% USD
HGIF GLOBAL EMERGING MARKETS EQUITY PDAktien Emerging Markets - weltweit LU0449516144 -0.79% 8% 3.94% 9.08% USD
HGIF Global Equity Climate Change ACAktien Sektor spezifischen - Klima und Umwelt LU0323239441 0.9% 17.37% 11.21% 10.79% USD
HGIF Global Equity Climate Change ADAktien Sektor spezifischen - Klima und Umwelt LU0323240290 0.89% 17.35% 11.21% 10.79% USD
HGIF Global Equity Dividend ACAktien weltweit LU1236619661 -1.23% 1.07% 5.31% 6.03% USD
HGIF Global Equity Vol Focused Fund ACAktien weltweit LU1066051225 -2.02% -0.89% 5.92% 6.27% USD
HGIF Global Government Bond ZDAnleihen weltweit LU1079017445 2.89% -1.92% 6% 3.57% USD
HGIF Global Government Bond ZQ1HEURAnleihen weltweit LU1135520341 0.63% 2.04% 2.8% 1.97% EUR
HGIF GLOBAL HIGH INCOME BOND ACAnleihen weltweit - Unternehmen LU0524291613 1.4% -2.52% 4.2% 3.89% USD
HGIF GLOBAL HIGH INCOME BOND ACHEURAnleihen weltweit - Unternehmen LU0807188023 -0.83% 1.61% 1.09% 2.39% EUR
HGIF GLOBAL HIGH INCOME BOND ADAnleihen weltweit - Unternehmen LU0770104676 1.41% -2.5% 4.21% 3.89% USD
HGIF GLOBAL HIGH INCOME BOND ADHEURAnleihen weltweit - Unternehmen LU0807187991 -0.83% 1.66% 1.1% 2.4% EUR
HGIF GLOBAL HIGH INCOME BOND BCAnleihen weltweit - Unternehmen LU1679032315 1.45% -1.9% 0% 0% USD
HGIF GLOBAL HIGH INCOME BOND BCHEURAnleihen weltweit - Unternehmen LU0954274998 -0.72% 2.33% 0% 0% EUR
HGIF GLOBAL HIGH INCOME BOND BDAnleihen weltweit - Unternehmen LU1679032661 1.46% -1.91% 0% 0% USD
HGIF GLOBAL HIGH INCOME BOND ICAnleihen weltweit - Unternehmen LU0524292264 1.46% -1.85% 4.91% 4.6% USD
HGIF GLOBAL HIGH INCOME BOND ICHEURAnleihen weltweit - Unternehmen LU0807188452 -0.78% 2.27% 1.73% 3.05% EUR
HGIF GLOBAL HIGH INCOME BOND IDAnleihen weltweit - Unternehmen LU0524292009 1.46% -1.84% 4.92% 4.6% USD
HGIF GLOBAL HIGH YIELD BOND FUND ACAnleihen weltweit - Hochzins LU0780251400 0.57% -4.08% 3.27% 4.07% USD
HGIF GLOBAL HIGH YIELD BOND FUND ADAnleihen weltweit - Hochzins LU0780246079 0.56% -4.08% 3.27% 4.06% USD
HGIF GLOBAL HIGH YIELD BOND FUND ICAnleihen weltweit - Hochzins LU0780246319 0.62% -3.5% 3.9% 4.68% USD
HGIF GLOBAL HIGH YIELD BOND FUND ICHEURAnleihen weltweit - Hochzins LU0850060707 -1.52% 0.94% 0.89% 3.35% EUR
HGIF GLOBAL HIGH YIELD BOND FUND IDAnleihen weltweit - Hochzins LU0780246400 0.62% -3.49% 3.9% 4.69% USD
HGIF GLOBAL HIGH YIELD BOND FUND ZCAnleihen weltweit - Hochzins LU0780246749 0.67% -2.9% 4.53% 5.31% USD
HGIF GLOBAL HIGH YIELD BOND FUND ZDAnleihen weltweit - Hochzins LU0780246822 0.75% -2.55% 4.63% 5.42% USD
HGIF GLOBAL HIGH YIELD BOND FUND ZQ1HEURAnleihen weltweit - Hochzins LU1135521075 -1.48% -2.48% -1.63% 1.98% EUR
HGIF GLOBAL HIGH YIELD SECURITISED CR BD ZCAnleihen weltweit - Hochzins LU0891656109 3.54% -6.88% 4.01% 3.99% USD
HGIF GLOBAL INFLATION LINKED BOND ACAnleihen weltweit - Inflationsschutz LU0518436224 2.28% -2.76% 5.38% 3.86% USD
HGIF GLOBAL INFLATION LINKED BOND ACHEURAnleihen weltweit - Inflationsschutz LU0522826162 0.03% 1.36% 2.23% 2.35% EUR
HGIF GLOBAL INFLATION LINKED BOND ADAnleihen weltweit - Inflationsschutz LU0518436497 2.28% -2.76% 5.38% 3.86% USD
HGIF GLOBAL INFLATION LINKED BOND ICAnleihen weltweit - Inflationsschutz LU0518436737 2.31% -2.37% 5.8% 4.28% USD
HGIF GLOBAL INFLATION LINKED BOND ICHEURAnleihen weltweit - Inflationsschutz LU0522826592 0.07% 1.78% 2.66% 2.77% EUR
HGIF GLOBAL INV GRADE SECURITISED CR BD ZCAnleihen weltweit LU0899571920 2.71% -4.9% 3.61% 2.37% USD
HGIF GLOBAL LOWER CARBON BOND ACAnleihen weltweit - Unternehmen LU1674672883 2.11% -2.29% 5.35% 0% USD
HGIF GLOBAL LOWER CARBON BOND ACHEURAnleihen weltweit - Unternehmen LU1689526272 -0.11% 1.88% 0% 0% EUR
HGIF GLOBAL LOWER CARBON BOND ADAnleihen weltweit - Unternehmen LU1674672966 2.11% -2.3% 5.35% 0% USD
HGIF GLOBAL LOWER CARBON BOND BCHEURAnleihen weltweit - Unternehmen LU1689526868 -0.09% 0% 0% 0% EUR
HGIF GLOBAL LOWER CARBON EQUITY ACAktien weltweit LU1674673428 -1.7% 2.7% 5.77% 0% USD
HGIF Global Real Estate Equity ADAktien Sektor spezifischen - Immobilien weltweit LU1163227579 -1.07% -24.27% -1.91% -0.58% USD
HGIF Global Real Estate Equity IDAktien Sektor spezifischen - Immobilien weltweit LU1163227736 -0.99% -23.56% -1.02% 0.33% USD
HGIF GLOBAL SECURITISED CREDIT BOND ICAbsolute Return Anleihen LU1823213381 2.93% -6.68% 0% 0% USD
HGIF Global Short Duration Bond ACAnleihen weltweit - kurze Laufzeit LU1163226092 1.93% -2.24% 3.74% 1.47% USD
HGIF Global Short Duration Bond XCAnleihen weltweit - kurze Laufzeit LU1163226506 1.97% -1.87% 4.13% 1.84% USD
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ACAnleihen weltweit - Hochzins LU0922809933 1.21% -4.97% 3.27% 2.65% USD
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ACHEURAnleihen weltweit - Hochzins LU0922810519 -0.95% -0.6% 0.29% 1.31% EUR
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ADAnleihen weltweit - Hochzins LU0930304943 1.21% -4.97% 3.27% 2.65% USD
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ADHEURAnleihen weltweit - Hochzins LU0930307458 -0.95% -0.61% 0.29% 1.33% EUR
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ICAnleihen weltweit - Hochzins LU0922810196 1.25% -4.49% 3.79% 3.17% USD
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ICHEURAnleihen weltweit - Hochzins LU0922810600 -0.91% -0.13% 0.78% 1.82% EUR
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ZCAnleihen weltweit - Hochzins LU0922810279 1.29% -4.02% 4.29% 3.65% USD
HGIF GLOBAL SHORT DURATION HIGH YIELD BD ZQ1HEURAnleihen weltweit - Hochzins LU1240778420 -0.87% -3.23% -3.05% -1.02% EUR
HGIF HONG KONG EQUITY ACAktien Hong Kong LU0164880469 -4.57% 14.49% 3.49% 6.65% USD
HGIF HONG KONG EQUITY ADAktien Hong Kong LU0149721374 -4.57% 14.47% 3.49% 6.64% USD
HGIF HONG KONG EQUITY ICAktien Hong Kong LU0164880626 -4.5% 15.47% 4.37% 7.56% USD
HGIF HONG KONG EQUITY PDAktien Hong Kong LU0011817854 -4.53% 15.04% 4% 7.18% USD
HGIF INDIA FIXED INCOME ACAnleihen Emerging Markets weltweit LU0780247804 2.61% -2.76% 2.4% 3.85% USD
HGIF INDIA FIXED INCOME ACEURAnleihen Emerging Markets weltweit LU0780248950 2.6% -2.77% 2.4% 3.85% EUR
HGIF INDIA FIXED INCOME ADAnleihen Emerging Markets weltweit LU0780247986 2.61% -2.75% 2.39% 3.83% USD
HGIF INDIA FIXED INCOME BCAnleihen Emerging Markets weltweit LU0955573331 2.66% -2.23% 2.97% 0% USD
HGIF INDIA FIXED INCOME BDAnleihen Emerging Markets weltweit LU1679049129 2.65% 0% 0% 0% USD
HGIF INDIA FIXED INCOME ICAnleihen Emerging Markets weltweit LU0780248281 2.67% -2.12% 3.07% 4.53% USD
HGIF INDIA FIXED INCOME ICEURAnleihen Emerging Markets weltweit LU0780249172 2.66% -2.13% 3.07% 4.53% EUR
HGIF INDIA FIXED INCOME IDAnleihen Emerging Markets weltweit LU0780248364 2.58% -2.45% 2.97% 4.38% USD
HGIF INDIA FIXED INCOME IDEURAnleihen Emerging Markets weltweit LU0780249255 2.66% -2.11% 0% 0% EUR
HGIF INDIA FIXED INCOME XDAnleihen Emerging Markets weltweit LU0780248521 2.67% -1.98% 3.19% 4.63% USD
HGIF INDIA FIXED INCOME ZDAnleihen Emerging Markets weltweit LU0780248877 2.7% -1.54% 3.66% 0% USD
HGIF INDIAN EQUITY ACAktien Indien LU0164881194 -2.27% -14.18% -3.31% 1.51% USD
HGIF INDIAN EQUITY ACCHFAktien Indien LU0807188536 -2.4% -14.29% -3.33% 1.47% CHF
HGIF INDIAN EQUITY ACEURAktien Indien LU0551365645 -2.26% -14.17% -3.31% 1.5% EUR
HGIF INDIAN EQUITY ADAktien Indien LU0066902890 -2.26% -14.18% -3.31% 1.51% USD
HGIF INDIAN EQUITY ADEURAktien Indien LU0551366536 -2.26% -14.18% -3.31% 1.51% EUR
HGIF INDIAN EQUITY BCAktien Indien LU0954275532 -2.2% -13.53% -2.58% 2.28% USD
HGIF INDIAN EQUITY BDAktien Indien LU0954275615 -2.21% -13.53% -2.58% 2.27% USD
HGIF INDIAN EQUITY ICAktien Indien LU0164881350 -2.19% -13.44% -2.48% 2.38% USD
HGIF INDIAN EQUITY ICEURAktien Indien LU0551366700 -2.2% -13.44% -2.48% 2.38% EUR
HGIF INDIAN EQUITY IDAktien Indien LU0149722851 -2.2% -13.44% -2.48% 2.38% USD
HGIF INDIAN EQUITY XDAktien Indien LU0404507260 -2.17% -13.28% -2.3% 2.58% USD
HGIF MEXICO EQUITY ACAktien Emerging Markets - Lateinamerika LU0877824093 -3.59% -30.25% -15.63% 0% USD
HGIF MEXICO EQUITY ICAktien Emerging Markets - Lateinamerika LU0926764712 -3.59% -29.79% -14.89% -8.64% USD
HGIF Multi Asset Style Factors ADFlexibel - weltweit LU1529682053 0.22% 1.77% 0% 0% EUR
HGIF Multi Asset Style Factors ICFlexibel - weltweit LU1460782227 0.28% 2.48% 3.37% 0% EUR
HGIF RMB FIXED INCOME ACAnleihen Asya Pazifik - Hochzins LU0692309627 2.79% 1.15% 3.97% 2.45% USD
HGIF RMB FIXED INCOME ACEURAnleihen Asya Pazifik - Hochzins LU0708054134 2.86% 1.48% 4.07% 2.53% EUR
HGIF RMB FIXED INCOME ACOEURAnleihen Asya Pazifik - Hochzins LU0782296676 0.59% 5.81% 0.87% 1.01% EUR
HGIF RMB FIXED INCOME ADAnleihen Asya Pazifik - Hochzins LU0692309460 2.78% 1.14% 3.97% 2.45% USD
HGIF RMB FIXED INCOME ADEURAnleihen Asya Pazifik - Hochzins LU0708054308 2.86% 1.48% 4.07% 2.54% EUR
HGIF RMB FIXED INCOME ICAnleihen Asya Pazifik - Hochzins LU0692310807 2.89% 1.91% 4.51% 2.97% USD
HGIF RMB FIXED INCOME ICEURAnleihen Asya Pazifik - Hochzins LU0708054647 2.89% 1.91% 4.51% 2.97% EUR
HGIF RMB FIXED INCOME ICOEURAnleihen Asya Pazifik - Hochzins LU0782296759 0.62% 6.24% 1.3% 1.42% EUR
HGIF RMB FIXED INCOME IDAnleihen Asya Pazifik - Hochzins LU0692310633 2.82% 1.57% 4.41% 2.89% USD
HGIF RUSSIA EQUITY ACAktien Russland LU0329931090 -4.24% -13.49% 3.87% 11.7% USD
HGIF RUSSIA EQUITY ACEURAktien Russland LU0622169059 -4.25% -13.49% 3.87% 11.7% EUR
HGIF RUSSIA EQUITY ADAktien Russland LU0329931173 -4.24% -13.46% 3.89% 11.7% USD
HGIF RUSSIA EQUITY ICAktien Russland LU0329931413 -4.16% -12.64% 4.88% 12.78% USD
HGIF RUSSIA EQUITY ZCAktien Russland LU0329931686 -4.09% -11.86% 5.99% 0% USD
HGIF THAI EQUITY ACAktien Thailand LU0210636733 -5.13% -26.84% -4.51% 1.4% USD
HGIF THAI EQUITY ADAktien Thailand LU0210637038 -5.12% -26.83% -4.5% 1.4% USD
HGIF THAI EQUITY ICAktien Thailand LU0210638432 -5.06% -26.21% -3.68% 2.27% USD
HGIF TURKEY EQUITY ACAktien Türkei LU0213961682 -0.64% -23.52% -13.03% -4.16% EUR
HGIF TURKEY EQUITY ADAktien Türkei LU0213961765 -0.63% -23.51% -13% -4.14% EUR
HGIF TURKEY EQUITY ICAktien Türkei LU0213961922 -0.55% -22.76% -12.18% -3.22% EUR
HGIF US DOLLAR BOND ACAnleihen USD LU0165076018 2.22% -0.9% 4.66% 2.44% USD
HGIF US DOLLAR BOND ADAnleihen USD LU0149734781 2.21% -0.91% 4.66% 2.44% USD
HGIF US DOLLAR BOND ICAnleihen USD LU0165076109 2.25% -0.45% 5.16% 2.92% USD
HGIF US DOLLAR BOND PDAnleihen USD LU0011820056 2.22% -0.66% 4.92% 2.69% USD
HSBC Aktienstrukturen EuropaFlexibel - weltweit LU0154656895 -1.19% -12.85% -3.21% 1.15% EUR
HSBC Euro Gvt Bond AccAnleihen Euro FR0000971293 1.06% 0.34% 3.49% 2.77% EUR
HSBC Euro Gvt Bond HDAnleihen Euro FR0000971301 1.06% -0.25% 2.76% 2.34% EUR
HSBC Euro Short Term Bond AC EURAnleihen Euro - kurze Laufzeit FR0000972473 0.14% -0.63% -0.46% -0.26% EUR
HSBC Euro Short Term Bond IC EURAnleihen Euro - kurze Laufzeit FR0010495044 0.18% -0.2% -0.05% 0.15% EUR
HSBC Euro Short Term Bond IC USDAnleihen Euro - kurze Laufzeit FR0010788836 2% -4.22% 3.14% 1.33% USD
HSBC Euro Short Term Bond SC EURAnleihen Euro - kurze Laufzeit FR0011994938 0.18% -0.12% 0.04% 0.24% EUR
HSBC GIF EURO CONVERTIBLE BOND ACWandelanleihen Europa LU1460729418 0.22% 2.24% -0.52% 0% EUR
HSBC GIF EURO CONVERTIBLE BOND ACWandelanleihen weltweit LU1460729418 0.22% 2.24% -0.52% 0% EUR
HSBC GIF EURO CONVERTIBLE BOND IDWandelanleihen Europa LU1460729848 0.28% 2.92% 0.13% 0% EUR
HSBC GIF EURO CONVERTIBLE BOND IDWandelanleihen weltweit LU1460729848 0.28% 2.92% 0.13% 0% EUR
HSBC GIF GEM Equity Volatility Focused ADAktien Emerging Markets - weltweit LU1272161347 -1.92% -12.97% -3.84% 2.33% USD
HSBC GLOBAL INVESTMENT ASIA BOND XCAnleihen Asya Pazifik LU1437003137 1.47% -0.92% 5.69% 0% USD
HSBC GLOBAL INVESTMENT CHINESE EQUITY XCAktien China LU0404497447 -2.81% 24.02% 8.35% 0% USD
HSBC GLOBAL INVESTMENT EURO CREDIT BOND TOTAL RETURN XCAbsolute Return Anleihen LU0988494596 0.38% 3.04% 2.48% 0% EUR
HSBC GLOBAL INVESTMENT GLOBAL ASSET-BACKED HIGH YIELD BOND XCAnleihen weltweit - Hochzins LU1194162217 3.47% -7.55% 3.29% 0% USD
HSBC GLOBAL INVESTMENT GLOBAL BOND TOTAL RETURN ICHEURAbsolute Return Anleihen LU1560770387 0.25% 0% 0% 0% EUR
HSBC GLOBAL INVESTMENT GLOBAL INFLATION LINKED BOND ZCHEURAnleihen weltweit - Inflationsschutz LU1464647699 0.1% 2.22% 3.07% 0% EUR
HSBC GLOBAL INVESTMENT GLOBAL LOWER CARBON BOND XCAnleihen weltweit - Unternehmen LU1674673006 2.17% -1.73% 5.93% 0% USD
HSBC GLOBAL INVESTMENT GLOBAL LOWER CARBON EQUITY XCAktien weltweit LU1674673774 -1.65% 3.32% 6.41% 0% USD
HSBC GLOBAL INVESTMENT INDIA FIXED INCOME XCAnleihen Emerging Markets weltweit LU0780248448 2.67% -1.99% 3.21% 0% USD
HSBC GLOBAL INVESTMENT INDIAN EQUITY ZCAktien Indien LU0164892712 -2.13% -12.75% -1.71% 0% USD
HSBC GLOBAL INVESTMENT MULTI-ASSET STYLE FACTORS ZCFlexibel - weltweit LU1449948840 0.34% 0% 0% 0% EUR
HSBC Mix Dynamique AAktien ausgewogen - weltweit FR0007006671 -3.98% -8.73% -2.08% 1.78% EUR
HSBC Mix Dynamique BAktien ausgewogen - weltweit FR0013270444 0% 0% 0% 0% EUR
HSBC Mix Equilibre AMischfonds ausgewogen - weltweit FR0007003868 -2.64% -6.02% -1.36% 1.22% EUR
HSBC Mix Equilibre BMischfonds ausgewogen - weltweit FR0013270451 -2.55% -4.99% -1.35% 0% EUR
HSBC Mix Modéré AAnleihen ausgewogen - weltweit FR0007497953 -1.21% -3.05% -0.5% 0.91% EUR
HSBC Mix Modéré BAnleihen ausgewogen - weltweit FR0013270469 0% 0% 0% 0% EUR
HSBC Portfolios – World Selection 1 ACHEURAbsolute Return Flexibel LU0447610410 -0.94% 0.08% 0.38% 1.41% EUR
HSBC Portfolios – World Selection 2 ACHEURAbsolute Return Flexibel LU0447610766 -1.9% 0.64% 0.52% 2.2% EUR
HSBC Portfolios – World Selection 3 ACHEURAktien ausgewogen - weltweit LU0447611061 -3.16% 0.26% 0.14% 2.98% EUR
HSBC Portfolios – World Selection 4 ACHEURAktien ausgewogen - weltweit LU0447611491 -3.88% -0.16% -0.06% 3.73% EUR
HSBC Portfolios – World Selection 5 ACHEURAktien ausgewogen - weltweit LU0447611731 -4.02% 0.4% 0.42% 4.28% EUR
HSBC Select Flexible AFlexibel - weltweit FR0007036926 -1.84% -1.61% -0.03% 1.49% EUR
HSBC SRI Euro Bond A CAnleihen Euro FR0010061283 0.61% -0.39% 2.38% 2.28% EUR
HSBC SRI Euro Bond IAnleihen Euro FR0010489567 0.64% 0.01% 2.79% 2.7% EUR
HSBC SRI Euroland Equity A C-DAktien Euro FR0000437113 -4.33% -6.18% -1.83% 3.75% EUR
HSBC SRI Euroland Equity I CAktien Euro FR0010250316 -4.27% -5.4% -1.07% 4.54% EUR
US Dollar BondAnleihen USD LU0149734195 2.25% -0.44% 5.15% 2.92% USD