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HSBC GIF Global Emerging Markets Local Debt Class BD - Income (GBP)

Sell:818.40p Buy:818.40p Change: 1.60p (0.20%)
Prices as at 24 December 2024
Sell:818.40p
Buy:818.40p
Change: 1.60p (0.20%)
You can buy or sell holdings in this fund through a Stocks and Shares ISA, Lifetime ISA, SIPP or Fund and Share Account
Prices as at 24 December 2024
Sell:818.40p
Buy:818.40p
Change: 1.60p (0.20%)
Prices as at 24 December 2024
You can buy or sell holdings in this fund through a Stocks and Shares ISA, Lifetime ISA, SIPP or Fund and Share Account
The selling price currently displayed is higher than the buying price. This can occur temporarily for a variety of reasons; shortly before the market opens, after the market closes or because of extraordinary price volatility during the trading day.
Also available as accumulation units Help

Charges and Savings

Initial charges
Initial charge: 3.10%
Initial saving from HL: 3.10%
Net initial charge: 0.00%
HL dealing charge: Free
Annual charges
Performance fee: No  
Ongoing charge (OCF/TER): 0.98%
Ongoing saving from HL: 0.00%
Net ongoing charge: 0.98%
There are other unit types of this fund available:
Class BC - Accumulation (GBP) (Net ongoing charge 0.98%)

In some cases the ongoing savings are provided by our loyalty bonus. Loyalty bonuses are tax-free in an ISA or SIPP. However, they may be subject to tax in a Fund & Share Account which would, in effect, reduce their value and increase the net ongoing charge.


Other Information

Unit type: Unbundled
Manager:
Multiple
Fund launch date: 30 July 2007
Sector: Global Emerging Markets Bond
Fund size: $1,307 million
Number of holdings: 849
Fund type: SICAV
Accumulation/income: Income
Dealing frequency: Daily
Valuation point: 16:00
Trustee: HSBC Bank plc
Minimum investment: £100.00
Available in a regular savings plan: Yes
Minimum regular savings value: £25.00

This product is based overseas and is not subject to UK sustainable investment labelling and disclosure requirements. Please see our Sustainability Labels page for more information.

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Performance

24/12/19 to 24/12/20 24/12/20 to 24/12/21 24/12/21 to 24/12/22 24/12/22 to 24/12/23 24/12/23 to 24/12/24
Annual return -2.02% -4.76% 2.43% 4.30% -0.47%

Please remember past performance is not a guide to future returns. Where no data is shown, figures are not available. This information is provided to help you choose your own investments, remember they can fall as well as rise in value so you may not get back the original amount invested.

View fund chart

Our view on this fund

The Wealth Shortlist features funds our analysts believe have the potential to outperform their peers over the long term. If a fund is not on the Shortlist, this is not a recommendation to sell; however, if you are thinking of adding to your investments, we believe the Wealth Shortlist is a good place to start. View funds on the Wealth Shortlist »

Fund Objective

The sub-fund invests for total return primarily in a diversified portfolio of Investment Grade and Non-Investment Grade bonds and other similar securities, as well as currency forwards and non-deliverable forwards (together "Instruments"). These Instruments are linked to the currency of securities issued or guaranteed by governments, government agencies or supranational bodies of Emerging Markets or companies which have their registered office in Emerging Markets and will be primarily denominated in local currency. On an ancillary basis, the sub-fund may consider investments in securities denominated in USD and those of other OECD countries. The sub-fund may also invest in additional financial derivative instruments such as futures, swaps, options, credit default swaps, as well as other structured products. The sub-fund intends to use such financial derivative instruments for, inter alia, return enhancement, hedging, taxadvantage access to instruments and whenever the Investment Adviser believes the investment in financial derivative instruments will assist the sub-fund in achieving its investment objectives.

Income Details

Distribution yield : 2.93%
Income paid: Annually
Type of payment: Dividend
Ex-dividend date: 6 July 2025
Payment date: 27 July 20254

This data is provided by Broadridge. HL accepts no responsibility for its accuracy and you should independently check data before making any investment decision. All yields are variable and not guaranteed. Information correct as at 31 July 2017.

Security Weight
United States Treasury Bill 0% 29/11/2024 7.00%
United States Treasury Bill 0% 05/11/2024 5.93%
United States Treasury Bill 0% 17/10/2024 5.84%
United States Treasury Bill 0% 05/12/2024 5.81%
United States Treasury Bill 0% 12/12/2024 5.80%
United States Treasury Bill 0% 29/10/2024 5.72%
United States Treasury Bill 0% 14/11/2024 5.71%
United States Treasury Bill 0% 19/12/2024 5.39%
United States Treasury Bill 0% 01/10/2024 5.09%
Mexican (Govt) 7.5% 03/06/2027 2.62%
Sector Weight
Bonds 98.04%
Alternative Trading Strategies 2.35%
Cash and Equiv. 0.67%
Managed Funds 0.00%
Non-Classified -1.06%
Country Weight
United States 53.59%
Poland 5.44%
Mexico 5.29%
Indonesia 4.51%
Non-Classified 4.45%
South Africa 4.34%
Brazil 4.17%
Malaysia 3.91%
Colombia 2.55%
Peru 2.28%

Data policy - All information should be used for indicative purposes only. You should independently check data before making any investment decision. HL cannot guarantee that the data is accurate or complete, and accepts no responsibility for how it may be used. Prices provided by Morningstar, correct as at 24 December 2024. Data provided by Broadridge, correct as at 30 September 2024.

Broadridge
You can buy or sell holdings in this fund through a Stocks and Shares ISA, Lifetime ISA, SIPP or Fund and Share Account

4 If you elect to receive the income from an ISA or a Fund & Share Account, we will collect any dividends for you and then pay them directly into your bank account within the first 10 working days of the following month.