The fund invests mainly in equities and equities instruments in emerging markets or through investing in global listed companies’ equities, on condition; that those companies are working primarily in investments in the emerging markets
|Fund Manager||HSBC Saudi Arabia Limited|
|Fund SubCategory||Shariah Compliant|
|Valuation Basis||The fund is valued each Tuesday and Thursday.|
|Fund Name||HSBC Emerging Markets Equity Fund|
|Fund Objective||The fund aims to achieve long term capital growth through investing in an investment portfolio consists of listed companies’ equities in the emerging stock markets. That comply with Shariah standards|
|Fund Classification||Income & Growth|
|Geographic Focus||Emerging Markets|
|Management Fee||2.30 %||Performance Fee||- %|
|Management Fee Type||Per annum||Min. Subscription||5,000.00|
|Subscription Fee||2.00 %||Min. Redemption||2,500.00|
|Redemption Fee||-||Custodian Fee||-|
|12 Month Low||6.88|
|12 Month High||8.16|
|Change (1M)||1.7143 %|
|Change (3M)||14.4979 %|
|Change (12M)||16.8666 %|
|Change (3Y)||(1.0507) %|
|Change (5Y)||(7.0736) %|
|Change Since Inception||(18.5370) %|
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