$765 Billion HSBC Asset Management Launches HSBC GIF Strategic Duration & Income Bond Fund Investing in Developed Market Mid-Term Bonds with 3 to 8 Years Average Duration & Monthly Payout at 7% Annualized Rate of Net Asset Value, Fund Available in 10 Currency Share Classes USD, HKD, SGD, AUD, NZD, CAD, EUR, GBP, JPY & RMB
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$765 Billion HSBC Asset Management Launches HSBC GIF Strategic Duration & Income Bond Fund Investing in Developed Market Mid-Term Bonds with 3 to 8 Years Average Duration & Monthly Payout at 7% Annualized Rate of Net Asset Value, Fund Available in 10 Currency Share Classes USD, HKD, SGD, AUD, NZD, CAD, EUR, GBP, JPY & RMB
18th December 2024 | Hong Kong
HSBC Asset Management ($765 billion AUM) has launched the HSBC GIF Strategic Duration & Income Bond Fund, investing in developed market mid-term bonds with 3 to 8 years average duration & monthly payout at 7% annualized rate of Net Asset Value (NAV).The new fund is available in 10 currency share classes USD, HKD, SGD, AUD, NZD, CAD, EUR, GBP, JPY & RMB.The fund manager is Oliver Boulind, who is HSBC Asset Management Head of Global Credit.
“ $765 Billion HSBC Asset Management Launches HSBC GIF Strategic Duration & Income Bond Fund Investing in Developed Market Mid-Term Bonds with 3 to 8 Years Average Duration & Monthly Payout at 7% Annualized Rate of Net Asset Value, Fund Available in 10 Currency Share Classes USD, HKD, SGD, AUD, NZD, CAD, EUR, GBP, JPY & RMB “
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Oliver Boulind, Head of Global Credit, HSBC Asset Management & Fund Manager for HSBC GIF Strategic Duration & Income Bond Fund: “Given changing market dynamics, the fund tactically manages duration while taking a holistic investment view across multiple fixed income sectors, and can help investors balance and diversify plus mitigate volatility.For example, high-yield and short-duration bonds may be attractive during economic expansion when interest rates are high. Conversely, long-duration government bonds may outperform if the economic outlook worsens.”
Charles Li, Head of Wholesale, Asia, HSBC Asset Management: “Rising uncertainties in the global markets are likely to translate to a more volatile market environment where the prediction of interest rate movements over a longer time horizon is always challenging, even for financial practitioners.As such, investors should think hard about diversification by having a mix of fixed income investments with different maturities. For bond investors, a mid-term investment strategy can help lower interest rate risk and could be a good way to generate income and growth potential with agility.”
$765 Billion HSBC Asset Management Launches HSBC GIF Strategic Duration & Income Bond Fund Investing in Developed Market Mid-Term Bonds with 3 to 8 Years Average Duration & Monthly Payout at 7% Annualized Rate of Net Asset Value, Fund Available in 10 Currency Share Classes USD, HKD, SGD, AUD, NZD, CAD, EUR, GBP, JPY & RMB
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