HSBC European Fund Investor Series

NAV

27.50

1-Day Total Return

0.01
%
CAD | NAV as of 20 Sep 2019 | 1-Day Return as of 20 Sep 2019

TTM Yield

0.82%

Load

None

Fund Size

34.0 mil CAD

MER

2.47%

ShareClass Type

Commission-based Advice

Turnover

28%

Status

Open

Min. Inv.

500

Fixed
Distribution

No

High
Net Worth

No

Category

European Equity

Investment Style

Large Value

Inception Date

11/09/1994

Since Inception Ret

5.3960%

Growth of $10,000

03/31/200703/08/2012
Fund Returns updated daily. Category and Index returns updated monthly.

Performance

Quotes for Nasdaq securities are delayed 15 minutes. Quotes for NYSE, AMEX, TSX and TSX-V securities are delayed 20 minutes.

Daily Unit Price

Go
Price:

Minimum Investments

  CAD
Initial 500
Additional 50
Closed to All Investors No
Closed to New Investors No

Sale

Country Registered For Sale
Canada
Country Available For Sale
Canada

Advisor Information

Fund Inception 09/11/1994
Name of Issuer HSBC Global Asset Management (Canada) Ltd.
Fund Advisor(s) HSBC Global Asset Management (Canada) Ltd.
Subadvisor(s) HSBC Global Asset Management (UK) Ltd

Management

  Start Date
François Chacun 31/05/2017