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Fund Report - Standard
For HSBC Investment Funds (Canada) Inc.
Funds 1 to 50 from 87 found.   Reports Help
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StandardShort-termLong-termSimple Annual ReturnsQuartile Rankings5-Star RatingsKey Facts Next

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As of February 24, 2017 As of January 31, 2017

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Price $

1 day
$ Chg

30 day %

3 mo %

6 mo %

1 yr %

3 yr %

Incep  (mm/yy)

Charts
/Info
HSBC AsiaPacific Fund - Adv 22.245 -0.139 4.19 0.04 3.78 25.78 11.15
Chart   Price History        
HSBC AsiaPacific Fund - P 13.894 -0.086 4.23 0.58 6.89 19.02 9.10 5.91 (06/10) Chart   Price History        
HSBC AsiaPacific Fund Inv 15.804 -0.098 4.19 0.46 6.58 18.34 8.50 2.40 (11/93) Chart   Price History        
HSBC BRIC Equity Fund - Adv 11.616 -0.187 3.42 0.65 12.81 41.36 9.75 1.37 (04/07) Chart   Price History        
HSBC BRIC Equity Fund - Inv 11.625 -0.187 3.42 0.64 12.87 41.73 10.07
Chart   Price History        
HSBC BRIC Equity Fund - Prem 12.824 -0.206 3.46 0.72 13.12 42.32 10.57 3.73 (06/10) Chart   Price History        
HSBC Canadian Balanced Fund - Inv 28.449 -0.149 0.71 1.96 4.14 11.14 6.59 7.00 (01/89) Chart   Price History        
HSBC Canadian Balanced Fund - P 14.187 -0.074 0.75 2.10 4.43 11.75 7.18 7.40 (05/10) Chart   Price History        
HSBC Canadian Balanced-A 14.918 -0.078 0.73 1.21 0.90 13.72 6.92
Chart   Price History        
HSBC Canadian Bond Fund (US$) - Adv 8.279 0.038 1.63 0.43 -3.07 8.64 -2.85
Chart   Price History        
HSBC Canadian Bond Fund (US$) - P 8.441 0.038 1.65 0.52 -2.75 9.46 -2.24
Chart   Price History        
HSBC Canadian Bond Fund - Adv 10.852 0.045 1.20 -2.56 -3.40 0.91 2.32
Chart   Price History        
HSBC Canadian Bond Fund - Inv 10.342 0.047 1.63 0.45 -2.88 9.16 -2.52
Chart   Price History        
HSBC Canadian Bond Fund - Prem 11.065 0.046 1.22 -2.47 -3.08 1.68 2.96 4.38 (04/08) Chart   Price History        
HSBC Canadian Bond Pooled Fund 12.071 0.049 1.28 -2.28 -2.67 2.52 3.76 5.47 (10/97) Chart   Price History        
HSBC Canadian Bond-I 13.557 0.056 1.20 -2.54 -3.21 1.40 2.67 5.68 (01/95) Chart   Price History        
HSBC Canadian Dividend Pooled Fund 27.562 -0.379 -0.20 6.43 11.72 26.71 10.56 8.81 (10/97) Chart   Price History        
HSBC Canadian Equity Pooled Fund 46.414 -0.720 -0.17 6.38 12.12 26.71 10.76 7.06 (10/97) Chart   Price History        
HSBC Canadian Money Market Fd - Inv 10.000 0.000 0.00 0.03 0.08 0.14 0.09 3.18 (01/89) Chart   Price History        
HSBC Canadian Money Market Fd - P 10.000 0.000 0.00 0.05 0.12 0.24 0.40 0.70 (01/08) Chart   Price History        
HSBC Canadian Money Market Pl Fd 10.000 0.000 0.00 0.12 0.29 0.56 0.72 2.20 (10/97) Chart   Price History        
HSBC Canadian Small Cap Eq Pl Fd 57.023 -0.830 1.88 2.95 6.11 23.78 10.85 9.35 (10/97) Chart   Price History        
HSBC Chinese Equity Fund - Prem 15.147 -0.194 4.53 -2.21 6.65 11.76 9.02 6.13 (05/10) Chart   Price History        
HSBC Chinese Equity-A 27.198 -0.349 4.47 -2.38 6.27 11.30 8.43 8.00 (06/04) Chart   Price History        
HSBC Chinese Equity-I 26.821 -0.344 4.48 -2.34 6.35 11.13 8.39 7.85 (05/04) Chart   Price History        
HSBC Dividend Fund - Adv 20.110 -0.286 -0.37 5.97 10.88 24.66 8.46
Chart   Price History        
HSBC Dividend Fund - Inv 40.550 -0.576 -0.34 6.05 10.89 24.98 8.69 8.49 (01/95) Chart   Price History        
HSBC Dividend Fund - Premium Series 16.198 -0.230 -0.30 6.19 11.20 25.67 9.29 8.74 (05/10) Chart   Price History        
HSBC Emerging Markets Debt Fd - Adv 10.180 -0.013 1.98 -3.26 -1.88 3.54 2.70 2.91 (11/11) Chart   Price History        
HSBC Emerging Markets Debt Fd - M 10.006 -0.012 2.13 -3.13 -1.60 4.19 2.54 3.20 (11/11) Chart   Price History        
HSBC Emerging Markets Debt Fd-Inv 10.278 -0.013 1.95 -3.64 -2.07 3.74 2.88 3.11 (10/11) Chart   Price History        
HSBC Emerging Markets Debt Fund-Prm 10.231 -0.013 1.98 -3.55 -1.89 4.11 3.25
Chart   Price History        
HSBC Emerging Markets Fund - Inst 18.063 -0.209 4.38 -1.47 6.96 22.69 8.29
Chart   Price History        
HSBC Emerging Markets Fund - Inv 9.350 -0.109 4.16 -2.08 5.63 19.69 5.67 -0.42 (11/94) Chart   Price History        
HSBC Emerging Markets Fund - Prem 9.929 -0.116 4.19 -2.00 5.80 20.10 6.05 -0.51 (10/10) Chart   Price History        
HSBC Emerging Markets Pooled Fund 10.386 -0.096 3.24 0.40 8.34 24.55 6.61 3.36 (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 21.603 -0.341 -0.34 5.48 13.19 29.34 9.77 5.76 (02/02) Chart   Price History        
HSBC Equity Fund - Investor Series 52.236 -0.825 -0.35 5.74 10.81 24.05 8.67 7.15 (01/89) Chart   Price History        
HSBC Equity Fund - Premium Series 15.899 -0.251 -0.30 5.89 11.12 24.74 9.28
Chart   Price History        
HSBC European Fund - Advisor Series 13.442 -0.159 -0.51 -0.85 3.97 0.45 3.16
Chart   Price History        
HSBC European Fund - Inv 26.009 -0.309 -0.52 -0.21 1.41 -3.74 1.86 5.58 (11/94) Chart   Price History        
HSBC European Fund - Premium Series 15.534 -0.184 -0.48 -0.08 1.69 -3.21 2.43 8.43 (06/10) Chart   Price History        
HSBC Glo Inflation Linked Bd Pl Fd 11.619 0.055 0.73 -1.14 0.78 7.05 5.27 5.39 (02/10) Chart   Price History        
HSBC Global Equity Fund - Adv 16.594 -0.062 1.44 3.01 10.24 38.03 18.17
Chart   Price History        
HSBC Global Equity Fund - Inv 13.985 -0.052 1.43 3.33 6.03 9.32 10.07 2.65 (01/98) Chart   Price History        
HSBC Global Equity Fund - P 17.920 -0.067 1.46 3.41 6.20 9.67 10.50 11.27 (07/10) Chart   Price History        
HSBC Indian Equity Fund - Adv 11.317 0.000 6.99 -5.53 1.51 6.06 13.96 1.41 (11/09) Chart   Price History        
HSBC Indian Equity Fund - Inv 10.765 0.000 7.03 -6.44 0.69 5.44 13.85 0.72 (10/09) Chart   Price History        
HSBC Indian Equity Fund - Prem 10.335 0.000 7.07 -6.47 0.95 6.11 14.47 0.25 (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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