HSBC
Global Asset Management (Bermuda) Limited
6 Front Street
Hamilton HM 11
Bermuda



Tel: 441 299 6750
Fax: 441 299 6518
Email: asset.management@hsbc.bm
BSX Ticker: HSBBOAC.BH
ISIN: BMG4640D1442
CFI code: ESVUFR

Website: www.hsbc.bm
 

The HSBC Fund of Funds Limited is an open end mutual fund company incorporated in Bermuda on May 26, 1998. The principal objective of the Company is to achieve capital growth while attempting to limit investment risk.

The Company aims to achieve its objective on behalf of the Equity Fund and Bond Fund by applying an asset allocation strategy focused primarily on open ended collective investment schemes investing in international equity and bond markets respectively. Diversification of investments is fundamental to the investment strategy. Each Fund will normally consist of five open ended collective schemes and may include other collective investment schemes managed by the Investment Manager, Bermuda International Investment Management Limited, (a wholly owned subsidiary of HSBC  Global Asset Management (Bermuda) Limited, (a wholly owned subsidiary of HSBC Bank Bermuda Limited), of Hamilton, Bermuda.

Investment selection is based on stringent criteria established by the Investment Manager and  includes quantitative and qualitative evaluation of all prospective and  continuing investments.

The investment policy is to be substantially fully  invested, however each Fund may invest in cash equivalents, including money market funds managed by the Investment Manager, during periods of pending  investments. 

NAV History (USD)

Documents

MIAX Logo

Disclaimer and Privacy Policy    Complaints Policy

Copyright © 2024 by Bermuda Stock Exchange. All rights reserved!

Questions or requests for information can be emailed to  info@bsx.com