ABF Hong Kong Bond Index Fund Accumulation Share: a type of share where the income earned by the Fund is retained in the Fund ACD: HSBC Global Asset Management (UK) Limited, the Authorised Corporate Director of the Company Actively Managed: where the fund manager uses their expertise to pick investments to achieve the fund’s objectives HSBC Investment Funds (Hong Kong) Limited, the Manager of ABF Hong Kong Bond Index Fund (the “Trust”), has issued a supplement (the “Supplement”) to the prospectus of the Trust dated 16 June 2005 as amended by the supplements dated 28 November 2005, 8 March 2006, 18 October 2006, 25 January 2007, 16 August 2007, 21 September 2007, The latest fund information for HSBC ABF Hong Kong Bond Index, including fund prices, fund performance, ratings, analysis, asset allocation, ratios & fund manager information. ABF Hong Kong Dollar Bond Index Fund (stock code 2819) ABF Hong Kong Bond Index Fund (stock code 2819) seeks to provide total returns (before fees and expenses) which correspond to the performance of the Markit iBoxx ABF Hong Kong Index 1.The index is an indicator of investment returns of Hong Kong dollar denominated bonds issued by government, quasi-government and supranational entities. HSBC Global Asset Management, Hong Kong (change country) Home About us Careers Press Contact us English | 中文 The new ABF Hong Kong Bond Index Fund website is now available. Investor should refer to the offering document for details of these differences and the fees and expenses involved in investing in the Fund. Investor should note that the market price of the Fund's unit on the exchange may be different from the net asset value per unit of the Fund and the units may be delisted from the stock exchange. Source: HSBC Global Asset Management, data as at 31 July 2018 Fund 2.48 2.54 -0.83 1.62 Management Fee First HKD 1,560 million 0.15%, ABF Hong Kong Bond Index Fund . 31 Jul 2018
ABF HONG KONG BOND INDEX Fund - HKD ETF fact sheet: charts, performance , flows, HSBC. Jurisdiction. Hong Kong. Legal structure. Unit Investment Trust. 30 Nov 2018 ABF Hong Kong Bond Index Fund. 0.08. This Fund Source: HSBC Global Asset Management, data as at 30 November 2018. Investments
ABF Hong Kong Bond Index Fund Accumulation Share: a type of share where the income earned by the Fund is retained in the Fund ACD: HSBC Global Asset Management (UK) Limited, the Authorised Corporate Director of the Company Actively Managed: where the fund manager uses their expertise to pick investments to achieve the fund’s objectives
HSBC Global Asset Management, Hong Kong (change country) Home About us Careers Press Contact us English | 中文 The new ABF Hong Kong Bond Index Fund website is now available. Investor should refer to the offering document for details of these differences and the fees and expenses involved in investing in the Fund. Investor should note that the market price of the Fund's unit on the exchange may be different from the net asset value per unit of the Fund and the units may be delisted from the stock exchange. Source: HSBC Global Asset Management, data as at 31 July 2018 Fund 2.48 2.54 -0.83 1.62 Management Fee First HKD 1,560 million 0.15%, ABF Hong Kong Bond Index Fund . 31 Jul 2018
ABF Hong Kong Dollar Bond Index Fund - A unique investment choice as part of your wealth planning. Performance charts for ABF Hong Kong Bond Index Fund (2819 - Type ETF) Funds (HK) Ltd HSBC Main Building 1 Queen's Road Central Hong Kong. Phone . The Funds with exposure to emerging markets, non-investment grade bonds, HSBC Global Asset Management (Hong Kong) Limited ("AMG") is a member of ABF HONG KONG BOND INDEX Fund - HKD ETF fact sheet: charts, performance , flows, HSBC. Jurisdiction. Hong Kong. Legal structure. Unit Investment Trust. 30 Nov 2018 ABF Hong Kong Bond Index Fund. 0.08. This Fund Source: HSBC Global Asset Management, data as at 30 November 2018. Investments