Top of Main Content

HSBC Asset Management Multi Asset First Variable Fund (HPO)

The primary objective of the Fund is to generate interest income in TRL terms. As such, the Fund portfolio comprises predominantly TRL-denominated Treasury Bills and Government Bonds, private sector debt instruments and lease certificates. The Fund also diversifies its portfolio through investments in stocks traded locally and abroad, as well as in FX-denominated bonds, thereby seeking to lift its return in the medium and long term to above the risk-free rate. The Fund’s long term yield objective is to exceed the risk-free rate. Therefore, it may not be suitable for those investors planning to end their investment earlier than a year. Changes in fixed income instruments’ prices may affect the Fund price.

Returns between two selected dates

Returns between two selected dates Calculate
INSTRUMENTS
INSTRUMENTS RETURN (%)
FUND LITERATURE
Last Update: 07/04/2026
FUND LITERATURE
Fund Investment Objectives Financial Statements
Internal Regulation Income Statement
Fund Prospectus Balance Sheet
Announcements Portfolio Distribution Report
General Rules of VOB Transactions Cut-off Time Table
Annual Management Fee Channels where you may invest in funds
% 1,533 HSBC Bank A.Ş. / HSBC Yatırım Menkul Değerler A.Ş. / HSBC Portföy Yönetimi A.Ş. and TEFAS member institutions
Benchmarks
Fund Valuation Principles

FUND HOLDINGS
Last Update: 07/04/2026
FUND HOLDINGS
07/04/2026 As of
Asset Under Management 1.244.529.516,90 TL
Fund Price (TL)* 0.149839
Asset Allocation
Money Market %2.15
Other %1.34
Government Bond %17.10
Commercial Bill %9.81
Treasury Bills %2.87
Equities %0
Corporate Bonds %16.08
Reverse REPO %50.65
Total %100.00