0000015809 00000 n We help personal, wealth and corporate clients thrive globally, leaning on our deep heritage in Asia’s faster-growing, higher-returning markets. In February 2020 we set out a major programme to reshape underperforming businesses, simplify the organisation and reduce costs. It’s rated as 1, where 1 is a lower level of risk and 5 is a higher level of risk. Bear in mind that HSBC’s Global Strategy Portfolios and all the other funds in our Global Investment Centre are offered without investment advice. To provide capital growth through investment in a broad range of asset classes across global markets. Getting to grips with risk could help you to grow your money, A step-by-step guide to choosing your own investments, Uncertainty’s no reason to put your future on hold, HSBC Group  |   © Copyright HSBC Group 2002-2020. Our remodelling plans will be accompanied by a substantial cost reduction programme and a number of steps to simplify HSBC. The Dynamic Portfolio targets a higher level of investment risk by investing in funds whose value is likely to fluctuate by a significant amount. And which is right for you? All managed funds data located on FT.com is subject to the. HSBC uses cookies to give you the best possible experience on our websites. %PDF-1.5 %���� The significant changes in the operating environment during 2020 have made it more important than ever that we accelerate our pivot to those areas where we can make the highest returns and have the best opportunities for growth. We maintain a privileged position in high-growth markets, particularly in Asia and the Middle East. Further information about HSBC’s strategy is available on our global corporate website . Investment Objective: HSBC Global Strategy Balanced Portfolio Income C: To provide capital growth through investment in a broad range of asset classes across global markets. Marketing mix – Here is the Marketing mix of HSBC. Past performance is no guarantee of future results. 0000091928 00000 n The fund manager’s goal is always to maximise the return within the portfolio’s designated level of risk. Thank you. Sector and region weightings are calculated using only long position holdings of the portfolio. To find out about getting investment advice from HSBC, see our advice options. ‘Asia-Pacific excluding Japan’ includes APAC ex-Japan onshore and offshore (booked in Hong Kong, Singapore and global centres); Japan and other global assets booked in Singapore and Hong Kong. The Fund is rated as 3, where 1 is a lower level of risk and 5 is a higher level of risk. We want to grow our business in the right way. Kirk will report to Joanna Munro, who was promoted to global CIO in September 2019. To provide capital growth through investment in a broad range of asset classes across global markets. 0000087983 00000 n And it means you can access, manage and top up your investment all via your online banking. When choosing an investment, you should consider the level of risk you’re willing to take and your capacity for loss. In a service industry, like banking people play an important role, HSBC Bank has 255000 employees on its payroll who work continuously with commitment and loyalty. 0000077890 00000 n 2. January 11, 2019 By Hitesh Bhasin Tagged With: Strategic Marketing Articles. Our climate strategy Our ambition to build a net zero global economy Enabling a sustainable future Since our foundation in 1865, we have opened up opportunities for our customers, communities, and wider society. To provide capital growth through investment in a broad range of asset classes across global markets. HSBC Global Strategy Portfolios – a world made affordable to suit your client. Invest. 0000035809 00000 n HSBC’s strategic advantages help us to connect customers to opportunities worldwide. HSBC bank has more than 4700 branches worldwide which is helping the company to create touch points for customers. 0000018189 00000 n 0000022921 00000 n xref Global Strategy Balanced Portfolio a sub-fund of HSBC OpenFunds, (the "OEIC"); managed by HSBC Global Asset Management (UK) Limited Class: CTF Accumulation ISIN: GB00BK5X4L29 Explanations of terms shown within the objectives and policy in bold, can be found within the glossary on Our Global Strategy Balanced Portfolio aims to provide capital growth through balanced investment in a broad range of asset classes across global markets. �)l7ؾ��3~d����`�x�ɚ�,��=vi�g\f" <]/Prev 295132>> This is one of a range of actively managed Global Strategy Portfolios offered at five different risk levels.