Product Code |
Fund |
Fund house | Product type* |
Risk level |
---|---|---|---|---|
001182 | E Fund Secure Return Mix Fund | E Fund Management Co., ltd | Conservative Multi Asset | 3 |
001522 | Bosera New Strategy Allocation Fund | Bosera Asset Management Co., ltd | Flexible Multi Asset | 3 |
012821 | E Fund Yue Feng 1Y Holding Period Fund A | E Fund Management Co., ltd | SH-HK-SZ Conservative Multi Asset | 3 |
013824 |
HSBC Jintrust Hui Yue Conservative Mixed Fund |
HSBC Jintrust Fund Management Co., ltd |
SH-HK-SZ Conservative Multi Asset |
3 |
006535 |
HSQH Heng Jin Yu Li Fund A |
Hang Seng Qianhai Fund Management Co., ltd |
SH-HK-SZ Conservative Multi Asset |
3 |
009475 |
HSBC Jintrust Stable Core Strategy Mixed Fund |
HSBC Jintrust Fund Management Co., ltd |
Conservative Multi Asset |
3 |
Product Code |
001182 |
---|---|
Fund |
E Fund Secure Return Mix Fund |
Fund house | E Fund Management Co., ltd |
Product type* |
Conservative Multi Asset |
Risk level | 3 |
Product Code |
001522 |
Fund |
Bosera New Strategy Allocation Fund |
Fund house | Bosera Asset Management Co., ltd |
Product type* |
Flexible Multi Asset |
Risk level | 3 |
Product Code |
012821 |
Fund |
E Fund Yue Feng 1Y Holding Period Fund A |
Fund house | E Fund Management Co., ltd |
Product type* |
SH-HK-SZ Conservative Multi Asset |
Risk level | 3 |
Product Code |
013824 |
Fund |
HSBC Jintrust Hui Yue Conservative Mixed Fund |
Fund house |
HSBC Jintrust Fund Management Co., ltd |
Product type* |
SH-HK-SZ Conservative Multi Asset |
Risk level | 3 |
Product Code |
006535 |
Fund |
HSQH Heng Jin Yu Li Fund A |
Fund house |
Hang Seng Qianhai Fund Management Co., ltd |
Product type* |
SH-HK-SZ Conservative Multi Asset |
Risk level | 3 |
Product Code |
009475 |
Fund |
HSBC Jintrust Stable Core Strategy Mixed Fund |
Fund house |
HSBC Jintrust Fund Management Co., ltd |
Product type* |
Conservative Multi Asset |
Risk level | 3 |
* Morningstar categories
- The risk levels for the funds, as determined by the sales agent, are primarily based on a comprehensive evaluation of the quantitative factors (including historical volatility) and qualitative factors (including product investment strategy and risk factors) related to the specific fund. The risk levels range from 1 to 5, with 5 being the highest risk level.
In the event that the risk level determined by the sales agent differs from that of the fund company, the higher risk level will prevail. - The funds mentioned on this page are issued and managed by the third party product providers. Under no circumstances will HSBC China (as a sales agent of fund houses) be liable for the responsibilities of investment, redemption and risk management.