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HSBC GIF Euroland Equity

Euroland Large Cap Equity strategy


HSBC GIF Euroland Equity is the flagship product of the Euroland equities strategy managed by HSBC Global Asset Management (France). The team has adopted a high conviction investment style and has developed innovative techniques which allow us to implement a coherent set of views across our portfolios within the same strategy.

Fund highlights :

  • A Eurozone large-cap equity fund with a long and consistent track record managed under the same Profitability and Valuation investment process since September 2004
  • A moderate “Value bias” to benefit from a potentially favourable environment for value investing or to minimize the downside risk in a less favourable market environment
  • A stable and experienced investment team (20 years on average), composed of seven Portfolio Managers and supported by a team of seven financial and ESG (Environmental, Social and Governance) analysts including an ESG Expert
  • A Systematic ESG assessment integrated into our mainstream investment process

 

 


Main risks associated to the fund **
  • Capital loss risk: Capital is not guaranteed. It is important to remember that the value of investments and any income from them can go down as well as up and is not guaranteed
  • Equity risk: Funds that invest in securities listed on a stock exchange or market could be affected by general changes in the stock market. The value of investments can go down as well as up due to equity markets movements

** For more detailed information on the risks associated with this fund, investors should refer to the prospectus of the fund.