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Fund Report - Standard
For HSBC Investment Funds (Canada) Inc.
Funds 1 to 50 from 88 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts Next

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As of July 19, 2017 As of June 30, 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 24.305 0.131 -0.58 3.27 17.87 25.51 12.28
Chart   Price History        
HSBC AsiaPacific Fund - P 15.228 0.083 -0.52 3.50 18.23 30.30 10.33 7.48 (06/10) Chart   Price History        
HSBC AsiaPacific Fund Inv 17.289 0.094 -0.56 3.38 17.96 29.60 9.74 2.91 (11/93) Chart   Price History        
HSBC BRIC Equity Fund - Adv 12.060 0.096 1.98 -2.23 6.49 26.17 9.05 1.72 (04/07) Chart   Price History        
HSBC BRIC Equity Fund - Inv 12.067 0.096 1.92 -2.24 6.49 26.26 9.35
Chart   Price History        
HSBC BRIC Equity Fund - Prem 13.338 0.106 1.99 -2.12 6.72 26.82 9.83 4.12 (06/10) Chart   Price History        
HSBC Canadian Balanced Fund - Inv 28.589 0.064 -1.46 -0.24 2.38 9.94 5.45 6.98 (01/89) Chart   Price History        
HSBC Canadian Balanced Fund - P 14.247 0.032 -1.42 -0.11 2.66 10.54 6.03 7.36 (05/10) Chart   Price History        
HSBC Canadian Balanced-A 14.973 0.033 -1.52 -0.35 2.35 5.38 5.74
Chart   Price History        
HSBC Canadian Bond Fund (US$) - Adv 8.582 0.010 3.27 3.63 6.10 -0.45 -4.02
Chart   Price History        
HSBC Canadian Bond Fund (US$) - P 8.758 0.010 3.34 3.80 6.33 0.17 -3.38
Chart   Price History        
HSBC Canadian Bond Fund - Adv 10.808 -0.012 -1.60 1.05 2.46 -0.09 2.44
Chart   Price History        
HSBC Canadian Bond Fund - Inv 10.734 0.012 3.32 3.73 6.19 -0.11 -3.65
Chart   Price History        
HSBC Canadian Bond Fund - Prem 11.029 -0.012 -1.53 1.21 2.69 0.53 3.11 4.49 (04/08) Chart   Price History        
HSBC Canadian Bond Pooled Fund 11.986 -0.014 -1.51 1.32 2.99 1.23 3.92 5.51 (10/97) Chart   Price History        
HSBC Canadian Bond-I 13.518 -0.015 -1.55 1.14 2.55 0.25 2.82 5.70 (01/95) Chart   Price History        
HSBC Canadian Dividend Pooled Fund 27.326 0.167 0.08 -1.06 2.05 17.30 7.25 8.68 (10/97) Chart   Price History        
HSBC Canadian Equity Pooled Fund 46.557 0.311 0.36 -1.83 1.62 17.19 7.24 6.94 (10/97) Chart   Price History        
HSBC Canadian Money Market Fd - Inv 10.000 0.000 0.00 0.00 0.00 0.10 0.08 3.13 (01/89) Chart   Price History        
HSBC Canadian Money Market Fd - P 10.000 0.000 0.00 0.00 0.00 0.15 0.31 0.67 (01/08) Chart   Price History        
HSBC Canadian Money Market Pl Fd 10.000 0.000 0.00 0.01 0.01 0.35 0.62 2.15 (10/97) Chart   Price History        
HSBC Canadian Small Cap Eq Pl Fd 55.235 0.285 -0.56 -2.96 -0.03 9.19 5.63 9.20 (10/97) Chart   Price History        
HSBC Chinese Equity Fund - Prem 17.253 0.187 3.41 5.84 17.75 26.96 14.37 7.65 (05/10) Chart   Price History        
HSBC Chinese Equity-A 30.886 0.334 3.35 5.64 17.30 26.04 13.69 8.76 (06/04) Chart   Price History        
HSBC Chinese Equity-I 30.474 0.329 3.36 5.68 17.39 26.22 13.70 8.61 (05/04) Chart   Price History        
HSBC Dividend Fund - Adv 19.974 0.127 -0.07 -1.59 1.05 15.15 5.08
Chart   Price History        
HSBC Dividend Fund - Inv 40.327 0.258 -0.03 -1.50 1.23 15.46 5.35 8.35 (01/95) Chart   Price History        
HSBC Dividend Fund - Premium Series 16.101 0.103 0.01 -1.36 1.50 16.09 5.93 8.31 (05/10) Chart   Price History        
HSBC Emerging Markets Debt Fd - Adv 10.245 -0.009 -1.19 0.45 4.74 3.35 2.17 3.51 (11/11) Chart   Price History        
HSBC Emerging Markets Debt Fd - M 10.073 -0.008 0.98 0.57 5.52 4.13 2.06 3.85 (11/11) Chart   Price History        
HSBC Emerging Markets Debt Fd-Inv 10.369 -0.008 -1.73 0.64 4.67 3.35 2.39 3.70 (10/11) Chart   Price History        
HSBC Emerging Markets Debt Fund-Prm 10.320 -0.008 -1.71 0.73 4.85 3.72 2.76
Chart   Price History        
HSBC Emerging Markets Fund - Inst 19.859 0.149 0.84 3.51 14.90 27.69 9.02
Chart   Price History        
HSBC Emerging Markets Fund - Inv 10.180 0.076 0.63 2.88 13.51 24.60 6.38 0.05 (11/94) Chart   Price History        
HSBC Emerging Markets Fund - Prem 10.825 0.080 0.66 2.96 13.70 25.01 6.74 1.11 (10/10) Chart   Price History        
HSBC Emerging Markets Pooled Fund 10.726 0.051 0.00 -1.08 7.74 21.57 4.90 3.99 (09/10) Chart   Price History        
HSBC Emerging Markets-A (08/28) 10.000 0.000 0.00




Chart   Price History        
HSBC Equity Fund - Advisor Series 21.430 0.143 0.10 -2.47 0.51 18.34 6.09 5.58 (02/02) Chart   Price History        
HSBC Equity Fund - Investor Series 51.892 0.347 0.18 -2.37 0.60 14.61 5.07 7.03 (01/89) Chart   Price History        
HSBC Equity Fund - Premium Series 15.784 0.106 0.22 -2.24 0.87 15.24 5.66
Chart   Price History        
HSBC European Fund - Advisor Series 14.959 -0.025 -2.84 4.92 12.21 25.68 6.58
Chart   Price History        
HSBC European Fund - Inv 28.962 -0.049 -2.81 4.99 12.23 21.34 5.24 6.05 (11/94) Chart   Price History        
HSBC European Fund - Premium Series 17.342 -0.029 -2.77 5.17 12.58 22.06 5.85 9.87 (06/10) Chart   Price History        
HSBC Glo Inflation Linked Bd Pl Fd 11.427 0.029 -0.81 -0.59 -0.29 1.58 3.96 5.05 (02/10) Chart   Price History        
HSBC Global Equity Fund - Adv 17.098 0.022 -3.70 1.46 5.76 33.63 19.04
Chart   Price History        
HSBC Global Equity Fund - Inv 14.431 0.019 -3.64 1.57 5.87 19.97 10.93 2.97 (01/98) Chart   Price History        
HSBC Global Equity Fund - P 18.515 0.025 -3.62 1.65 6.04 20.35 11.33 11.71 (07/10) Chart   Price History        
HSBC Global High Yield Bon 65143394 8.407 0.011 0.46 1.85 4.49 10.78 4.07 6.09 (03/07) Chart   Price History        
HSBC Indian Equity Fund - Adv 12.492 -0.016 -2.70 2.32 19.82 27.63 7.46 3.41 (11/09) Chart   Price History        
HSBC Indian Equity Fund - Inv 11.896 -0.015 -2.84 2.38 19.85 26.81 7.40 2.75 (10/09) 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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