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Fund Report - Standard
For HSBC Investment Funds (Canada) Inc.
Funds 1 to 50 from 85 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts Next

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As of November 17, 2017 As of October 31, 2017

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Fund name

Price $

1 day
$ Chg

30 day %

3 mo %

6 mo %

1 yr %

3 yr %

Incep  (mm/yy)

Charts
/Info
HSBC AsiaPacific Fund - Adv 26.030 0.158 3.69 6.17 6.61 21.18 13.46
Chart   Price History        
HSBC AsiaPacific Fund - P 16.352 0.099 3.74 6.39 7.09 22.54 11.50 8.16 (06/10) Chart   Price History        
HSBC AsiaPacific Fund Inv 18.536 0.112 3.70 6.26 6.84 21.96 10.91 3.16 (11/93) Chart   Price History        
HSBC BRIC Equity Fund - Adv 13.153 0.145 1.10 9.21 5.93 17.68 11.81 2.79 (04/07) Chart   Price History        
HSBC BRIC Equity Fund - Inv 13.155 0.145 1.09 9.17 5.86 17.60 12.10
Chart   Price History        
HSBC BRIC Equity Fund - Prem 14.572 0.161 1.17 9.35 6.19 18.17 12.60 5.61 (06/10) Chart   Price History        
HSBC Canadian Balanced Fund - Inv 29.605 0.060 1.37 4.83 1.74 8.29 6.27 7.03 (01/89) Chart   Price History        
HSBC Canadian Balanced Fund - P 14.759 0.030 1.42 4.97 2.02 8.88 6.85 7.56 (05/10) Chart   Price History        
HSBC Canadian Balanced-A 15.468 0.031 1.29 4.65 1.39 7.17 6.49
Chart   Price History        
HSBC Canadian Bond Fund (US$) - Adv 8.455 0.010 -0.87 -1.90 5.15 3.40 -2.55
Chart   Price History        
HSBC Canadian Bond Fund (US$) - P 8.643 0.010 -0.80 -1.68 5.61 4.02 -1.84
Chart   Price History        
HSBC Canadian Bond Fund - Adv 10.790 0.017 0.98 1.50 -0.64 -0.55 1.93
Chart   Price History        
HSBC Canadian Bond Fund - Inv 10.597 0.012 -0.82 -1.75 5.46 3.74 -2.11
Chart   Price History        
HSBC Canadian Bond Fund - Prem 11.030 0.018 1.06 1.73 -0.21 0.05 2.67 4.30 (04/08) Chart   Price History        
HSBC Canadian Bond Pooled Fund 12.021 0.020 1.10 1.90 0.04 0.70 3.45 5.41 (10/97) Chart   Price History        
HSBC Canadian Bond-I 13.524 0.022 1.03 1.66 -0.35 -0.22 2.38 5.60 (01/95) Chart   Price History        
HSBC Canadian Dividend Pooled Fund 28.840 0.096 1.61 7.22 5.01 15.03 9.43 8.89 (10/97) Chart   Price History        
HSBC Canadian Equity Pooled Fund 49.688 0.166 1.90 7.61 4.92 15.29 9.76 7.22 (10/97) Chart   Price History        
HSBC Canadian Money Market Fd - Inv 10.000 0.000 0.00 0.00 0.01 0.04 0.07 3.09 (01/89) Chart   Price History        
HSBC Canadian Money Market Fd - P 10.000 0.000 0.00 0.00 0.01 0.06 0.24 0.65 (01/08) Chart   Price History        
HSBC Canadian Money Market Pl Fd 10.000 0.000 0.00 0.01 0.02 0.14 0.51 2.12 (10/97) Chart   Price History        
HSBC Canadian Small Cap Eq Pl Fd 57.573 0.319 1.30 5.57 3.60 8.02 8.54 9.24 (10/97) Chart   Price History        
HSBC Chinese Equity Fund - Prem 19.978 0.095 4.09 11.07 19.90 30.95 16.31 9.72 (05/10) Chart   Price History        
HSBC Chinese Equity-A 35.685 0.169 4.03 10.88 19.47 30.02 15.62 9.87 (06/04) Chart   Price History        
HSBC Chinese Equity-I 35.221 0.167 4.04 10.91 19.54 30.19 15.63 9.72 (05/04) Chart   Price History        
HSBC Dividend Fund - Adv 21.050 0.071 1.47 6.85 4.00 12.96 7.27
Chart   Price History        
HSBC Dividend Fund - Inv 42.576 0.144 1.51 7.00 4.27 13.42 7.61 8.52 (01/95) Chart   Price History        
HSBC Dividend Fund - Premium Series 17.007 0.058 1.56 7.15 4.56 14.04 8.20 8.87 (05/10) Chart   Price History        
HSBC Emerging Markets Debt Fd - Adv 10.167 0.028 -0.42 1.21 -1.57 1.36 2.17 3.35 (11/11) Chart   Price History        
HSBC Emerging Markets Debt Fd - M 9.972 0.027 -0.44 1.18 -1.61 1.87 1.98 3.66 (11/11) Chart   Price History        
HSBC Emerging Markets Debt Fd-Inv 10.338 0.029 -0.31 1.58 -0.87 1.60 2.56 3.62 (10/11) Chart   Price History        
HSBC Emerging Markets Debt Fund-Prm 10.289 0.029 -0.28 1.67 -0.69 1.95 2.93
Chart   Price History        
HSBC Emerging Markets Fund - Inst 21.453 0.242 3.03 8.29 9.33 22.44 12.00
Chart   Price History        
HSBC Emerging Markets Fund - Inv 10.908 0.123 2.82 7.62 7.97 19.47 9.29 0.46 (11/94) Chart   Price History        
HSBC Emerging Markets Fund - Prem 11.612 0.131 2.85 7.71 8.15 19.87 9.63 2.43 (10/10) Chart   Price History        
HSBC Emerging Markets Pooled Fund 11.351 0.097 0.75 8.06 4.08 15.55 7.01 5.06 (09/10) Chart   Price History        
HSBC Equity Fund - Advisor Series 22.676 0.075 1.69 7.03 3.53 12.36 8.52 5.90 (02/02) Chart   Price History        
HSBC Equity Fund - Investor Series 55.067 0.183 1.77 7.27 3.94 13.08 7.59 7.21 (01/89) Chart   Price History        
HSBC Equity Fund - Premium Series 16.757 0.056 1.82 7.41 4.23 13.69 8.19
Chart   Price History        
HSBC European Fund - Advisor Series 15.268 0.003 -0.09 5.05 2.24 16.83 10.30
Chart   Price History        
HSBC European Fund - Inv 29.610 0.006 -0.02 5.17 2.46 17.79 8.97 6.16 (11/94) Chart   Price History        
HSBC European Fund - Premium Series 17.761 0.004 0.03 5.32 2.79 18.48 9.59 10.06 (06/10) Chart   Price History        
HSBC Glo Inflation Linked Bd Pl Fd 11.574 0.011 0.19 1.13 -0.72 -0.24 3.69 4.97 (02/10) Chart   Price History        
HSBC Global Equity Fund - Adv 17.947 0.011 1.66 7.14 2.52 16.29 19.46
Chart   Price History        
HSBC Global Equity Fund - Inv 15.187 0.010 1.73 7.34 2.90 17.08 11.41 3.20 (01/98) Chart   Price History        
HSBC Global Equity Fund - P 19.504 0.013 1.76 7.42 3.06 17.45 11.79 11.99 (07/10) Chart   Price History        
HSBC Global High Yield Bon 65143394 8.400 0.004 -0.34 1.55 3.11 8.29 4.93 6.14 (03/07) Chart   Price History        
HSBC Indian Equity Fund - Adv 13.140 0.173 4.82 6.52 3.25 17.68 8.14 4.10 (11/09) Chart   Price History        
HSBC Indian Equity Fund - Inv 12.510 0.164 4.75 6.49 3.26 16.68 8.06 3.46 (10/09) Chart   Price History        
HSBC Indian Equity Fund - Prem 12.053 0.159 4.83 6.60 3.50 17.03 8.65 3.35 (07/10) Chart   Price History        
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Click the Fund Name link to view a Fund Profile. Funds highlighted in yellow are offered by Globefund Partners.  To view a chart select . To view fund price history, click  . To order free mutual fund prospectuses for selected funds, click . To view detailed fund information provided by the fund company, click . To view video clips provided by the fund company, click .

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