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Closing prices as at 10 September 2010:   6PM: 0.530 unch   BOV: 3.200 0.020    CW: 0.420 unch   FIM: 0.970 unch   GCL: 1.280 unch   GO: 1.890 unch   GHM: 1.960 unch   HSB: 2.840 unch   IHI: 0.830 unch   IHG: 0.997 unch   LOM: 2.750 unch   LQS: 0.200 unch   MIA: 1.550 unch   MTP: 0.899 unch   MDS: 4.280 unch   MSI: 1.000 -0.010    PZC: 1.650 unch   RS2: 0.560 unch   STUM: 2.600 unch   SFC: 1.801 unch  

HSBC International Bond Fund - Accumulator

Fund Data
Last Valid Date:  
27 Jul 2010
Share Price:  
325.0300
Previous Price:
332.8400
Change from previous day:  
-7.81
Base Currency:  
EUR
Fund Size:  
15,988,321
ISIN:
Manager:  
HSBC Malta Funds SICAV p.l.c.

Company Information
 

Objective To achieve long-term capital growth for investors, primarily through investment in international debt securities.

Launch Date 21st June 2002

Launch Price

Base Currency  British Pound (GBP)

Minimal Investment Accumulator class equivalent of €1000 in GBP, Distributor class equivalent of €4500 in GBP
 
Minimal Additional Investment NONE

Dealing Days Every dealing day which is a business day

Charges Initial charge: 2.5%. Exit fee: None. Management fee 0.80% p.a. of NAV. Investment Account fee: 0.125% p.a.(min €23.29, max €116.47 per investment account calculated on the value of the units held in each account). Custody fees: 0.10% p.a. on the NAV (min €11,646.87). There is an administration fee of €4.66 per investor on every dividend distribution. This fee is charged directly to the income classes and will be reflected in the unit price.

ManagerHSBC Fund Management Ltd

ProspectusClick here

Tuesday, July 27, 2010
325.0300  -0.5800

Chart


Company Information


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