Investor Funds
 

Designed to meet your needs

The HSBC Funds consist of an array of mutual funds designed to meet investors' specific needs. With an investment offering ranging from money market funds to international equity funds, the HSBC Funds offer investors the opportunity to participate in diversified portfolios of investments managed by some of the leading mutual fund managers in the country, including HSBC Global Asset Management (USA) Inc. The HSBC Funds are also ideal for use in asset allocation models.

HSBC Funds Proxy Voting

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HSBC Funds Proxy Voting

World Selection Funds - Asset Allocation Solution

For busy investors who have limited time to manage and monitor their portfolios on a regular basis and want to take advantage of the global investment opportunities that World Selction Funds can offer.

HSBC Funds Breakpoint / Sales Loads

View Breakpoint / Sales Loads documents for the HSBC Funds.

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How to read your statement

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Effective January 31, 2011, the Fund's Form N-MFP filings will be made publicly available via the SEC website and can be obtained by clicking the following link: http://www.sec.gov/cgi-bin/browse-edgar?action=getcompany&CIK=0000798290&type=N-MFP&dateb=&count=80&scd=filings


Distributor: Foreside Distribution Services, L.P., member FINRA

HSBC Global Asset Management (USA) Inc. is the investment advisor to the HSBC Funds and receives a fee for its services.

Securities Products are:

  • Not a bank deposit or obligation of the bank or any of its affiliates
  • Not FDIC insured
  • Not insured by any federal government agency
  • Not guaranteed by the bank of any of its affiliates
  • May lose value

These Funds may not be available for sale in all states. Contact your investment advisor concerning if/how you can purchase these Funds.

There is no guarantee that the Fund will continue to hold any one particular security or stay invested in any one particular company. The composition of the Fund's top holdings is subject to change. Performance figures are historical and reflect the change in share price, reinvested distributions, changes in net asset value, sales charges and capital gains distributions, if any.

During the period shown, portions of the investment advisory and shareholder servicing fees were waived. Had these waivers not been in effect, the performance quoted would have been lower.

An investor should consider the fund's investment objectives, risks, and charges and expenses carefully before investing or sending money. This and other important information about the investment company can be found in the fund's prospectus. To obtain a prospectus, please call 1-800-782-8183. Please read the prospectus carefully before investing or sending money.