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HSBC Variable Fund

The investment goal of the Fund is to deliver stable returns to its investors in the long term with a balanced portfolio distribution. Given that it is a variable fund, it invests in public and private sector bills, along with stocks, thereby providing portfolio diversity, while exhibiting less volatility with respect to stock-heavy funds. This is a suitable product for investors willing to take controlled risk, and invest in stocks, alongside bonds.

Returns between two selected dates

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INSTRUMENTS
INSTRUMENTS RETURN (%)
FUND HOLDINGS
Last Update: 27/01/2021
FUND HOLDINGS
27/01/2021 As of
Asset Under Management 382.300.661,04 TL
Fund Price (TL)* 141.164013
Asset Allocation
Money Market %0.13
Other %1.62
Government Bond %4.48
Commercial Bill %9.36
Equities %50.87
Reverse REPO %29.54
Total %96.00