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HSBC Managed Solutions

HSBC Managed Solutions

Capitalise on an Asian economy that's getting bigger and bigger

HSBC Managed Solutions
Asia Focused Series

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Invest in Asia with a choice of investments designed to fit the risk profile of a broad range of investors


The HSBC Managed Solutions – Asia Focused Series offers you the opportunity to potentially accumulate wealth through long-term investment solutions that are tailored to best suit your risk profile. HSBC Managed Solutions – Asia Focused Series fund is managed by HSBC Global Asset Management (Hong Kong) Limited

The diversified and flexibly managed portfolios invest in a wide range of asset classes that has the potential to perform well over the long term.

You can choose from three funds, each customised to your risk tolerance level, in one of the world's fastest growing regions.

Three Funds

These Funds may be suitable for investors who:

  • Have a clear understanding of the risk profiles from conservative to aggressive and wish to choose corresponding diversified investment solutions
  • Are comfortable investing across asset classes and primarily in Asian assets
  • Look for investment expertise in flexible asset allocation that aims to maximise risk adjusted returns over the long term
  • Desire varying degrees of stable to moderate capital growth with potential income, depending on their risk profile


Key reasons for exposure to Asian assets*:

  • Strong growth drivers – rising corporate profits, low default and interest rates and rising GDP to support performance of Asian assets
  • Ample investment opportunities – historically low Asian equity valuations and robust fundamentals for Asian bonds indicate potential to unlock long-term value

*The views provided are those of HSBC Global Asset Management(Hong Kong) Limited.


Potential risks1

  • Bond investments may involve interest rate, credit, liquidity, default, derivative risks and any combination of these and other risks
  • Equity investments may be affected by the global economic environment and fluctuating economic data, as well as government policy and macro risks
  • Exposure to emerging markets involves a greater risk of loss than exposure to more developed markets due to greater political, economic and regulatory risks
  • The Funds may be affected by changes in exchange rates between base currency and other currencies or exchange control regulations
  • Changes in interest rate and government policies could also be additional macro risks

Fund Details 

Asia Focused Conservative


Objective

Seek long-term stable returns by investing flexibly in diversified portfolio of asset classes, primarily based in the Asia Pacific ex-Japan region


Portfolio characteristics2

  • At least 70% is invested in Asia Pacific (excluding Japan) asset classes (which are in USD and local currency)
  • Up to 85% in government bonds2, and up to 70% in Asian investment-grade bonds2 to capture diversified source of growth while smoothening portfolio volatility
  • Flexible use of cash for risk management purpose


Suitable investors

  • Cautious investors who seek to participate in the Asia growth opportunities with relatively low volatility
Asset class Indicative range2 Indicative neutral weighting2
Asian equities 0-30% 15%
Asian investment grade bonds 0-70% 40%
Cash 0-85% 20%
Government bonds 0-85% 25%
Others 0-20% 0%


1Any forecast, projection, target or indicative characteristic where provided is indicative only and is not guaranteed in any way. HSBC Global Asset Management (Hong Kong) Limited accepts no liability for any failure to meet such forecast, projection, target or indicative characteristic.

2As at 31st July 2013. The portfolio allocation ranges are for illustrative purposes only and the actual universe and allocation may differ and may be changed from time to time without notice. * The cash position includes strategic holding and cash in the underlying asset allocation sleeves pending investment when attractive investment opportunities arise.

Asia Focused Income


Objective

  • Seek income and moderate capital growth by investing flexibly in diversified portfolio of asset classes, primarily based in the Asia ex-Japan region


Portfolio characteristics1

  • At least 70% invested in Asia ex-Japan asset classes (in USD and local currency) for income and growth
  • Up to 70% in Asian investment-grade bond1 for diversified source of return while smoothening portfolio volatility
  • Invest up to 20%1 in Real Estate Investment Trusts (REIT) and emerging market debts for yield and growth
  • Ability to invest across asset classes and globally, to capture income and growth opportunities


Suitable investors

  • Moderate investors who primarily seek income and potential growth, mostly from Asian assets
Asset class Indicative range1 Current yield2
Asian high dividend equities 0-30% 4.1%
Asian investment grade bonds 0-70% 3.7%
Asian high yield bonds 0-20% 6.5%
Asian local currency bonds 0-20% 3.4%
GEM debt(currency exposure) 0-20% 4.1%
Others(including REITs) 0-20% 0-2%
Cash/government bonds 0-100% 0-2%


1As at 31st July 2013. The portfolio allocation ranges are for illustrative purposes only and the actual universe and allocation may differ and may be changed from time to time without notice. * The cash position includes strategic holding and cash in the underlying asset allocation sleeves pending investment when attractive investment opportunities arise.

Asia Focused Growth


Objective

  • Seek long-term total return by investing flexibly in diversified portfolio of asset classes, primarily based in the Asia Pacific (excluding Japan) region


Portfolio characteristics1

  • At least 70% invested in Asia Pacific (excluding Japan) asset classes (in USD and local currency)
  • Up to 100% equity exposure1
  • Ability to invest across asset classes and globally, to capture high growth opportunities


Suitable investors1

  • Aggressive investors who seek equity like returns and high growth opportunities, whilst preferring to remain diversified across asset classes
Asset class Indicative range1 Indicative neutral weighting1
Asian equities 50-100% 70%
Asian investment grade bonds 0-50% 10%
Asian high yield bonds 0-50% 10%
Asian local currency bonds 10% 10%
Others 0-20% 0%
Cash 0-50%
Government bonds 0-50%


1As at 31st July 2013. The portfolio allocation ranges are for illustrative purposes only and the actual universe and allocation may differ and may be changed from time to time without notice. * The cash position includes strategic holding and cash in the underlying asset allocation sleeves pending investment when attractive investment opportunities arise.

Eligibility 

You can invest in HSBC Managed Solutions – Asia Focused Series if:

  • You're a UAE resident
  • You're an existing HSBC customer
  • You're aged between 21 and 60 years old

Product terms and conditions apply. This information is neither an offer to sell, purchase or subscribe for any investment nor a solicitation of such an offer. This information is general and does not take into account a person's individual circumstances, objectives or needs. Investments carry risk and values may go up as well as down. Before you make any investment decisions, you may wish to consult a financial adviser and refer to product brochures, key feature documents and terms & conditions. Please visit any of our branches or contact your relationship manager to make an appointment. HSBC Bank Middle East Limited is only a distributor of this Fund. The Fund is managed by HSBC Global Asset Management (Hong Kong) Limited

1For complete details on the potential risk, please refer to the Product Brochure and Prospectus and our General Terms and Conditions for Investment and Insurance Products

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Our representative will call you back in 60 minutes* to proceed with your request.

* Our wealth management team is available from Sunday to Thursday, 9:00am to 4:30pm. If your form is submitted outside of these times, we will call you back on the next working day.

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How to apply

Are you already an HSBC UAE customer?

Or call: 600 55 4722

What if I'm not eligible

HSBC works to develop products and services to meet your requirements. To simplify the criteria for each product we provide a minimum salary or deposit criteria.

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Or call: 600 55 4722