Fund fact sheet

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HSBC American Index Inst Acc



Fund Overview

Unit Price 214.10p

23/05/2012

Standard Initial Charge n/a
TQ Invest Discount 0.00%
Initial Charge Through TQ Invest n/a
Annual Management Charge n/a
Total Expense Ratio 0.25%
Fund size £471,220,742
Usable in ISA No


Fund holding information

Holding Weighting
Apple Inc 4.06%
Exxon Mobil Corp 2.97%
International Bus Mach Corp 1.76%
Microsoft Corp 1.75%
Chevron Corp 1.54%
General Electric Co. 1.54%
At&T Inc 1.35%
Procter & Gamble Co 1.34%
Johnson & Johnson 1.32%
Wells Fargo & Co 1.31%
Sector Weighting
Telecom, Media & Technology 19.66%
Financials 14.50%
Services 11.22%
Industrials 10.85%
Oil & Gas 10.12%
Consumer Products 10.04%
Health Care 10.02%
Not Specified 3.85%
Cash & Cash Equivalents 3.68%
Utilities 3.30%
Basic Materials 2.77%
Region Weighting
North America 89.56%
Not Specified 3.85%
Money Market 3.68%
Equities 1.66%
Europe Ex Uk 1.26%
Asset Type Weighting
North American Equities 89.56%
International Equities 3.85%
Money Market 3.68%
Property 1.66%
European Equities 1.26%

Data provided by Financial Express

The value of this investment and the income from it can go down as well as up. Past performance should not be regarded as a guide to the future. The investment described may not be suitable for all recipients and this factsheet does not constitute personalised investment advice. No liability is accepted for any loss arising from errors or omissions.