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    • HSBC Global Emerging Markets Fund (Growth)

    Formerly HSBC Emerging Markets Gr

    HSBC Mutual Funds

    HSBC Global Emerging Markets Fund (Growth)

    International EquityInternational - Others

    19.7798

    NAV (Sep 23)

    11.2%
    5 Year CAGR
    Scripbox Opinion

    Neutral

    Click here for top ranked funds in international - others mutual funds.

    However, Scripbox does not recommend investing in international - others mutual funds.

    These funds invest in specific overseas markets providing an investor with exposure to geographies like Europe, China & Japan.

    This category has few funds and relatively small amounts invested in them.

    Investing in these funds will require investors to have a unique insight into the economic & market prospects of specific countries and geographies.In addition the investor will need to have the ability,inclination and expertise to monitor the prospects closely.

    Our analysis of this fundLearn how we rate funds ->

    Track Record

    13 Years. The Fund has Sufficient history for analysis and the track record is good.

    Relative Size

    19 Cr. Negligible within the category

    Category View

    Neutral. The category has a neutral investment outlook

    Consistency Of Performance

    Good. The historical performance of the fund has been good

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      Historical growth rate of 12% per annum
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      Recommended Duration 1 - 5 years
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      No Lock-in
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    Historical NAV

    19.7798

    NAV (Sep 23)

    Fund Returns

    Last 1Y
    21%
    Last 3Y
    11.3%
    Last 5Y
    11.2%
    Last 10Y
    9.4%
    Since Inception
    5.2%
    6 Month CAGR
    -1%
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    Scheme Information

    Investment Objective

    The primary investment objective of the Scheme is to provide long term capital appreciation by investing predominantly in units/shares of HSBC Global Investment Funds - Global Emerging Markets Equity Fund. The Scheme may also invest a certain proportion of its corpus in money market instruments and / or units of liquid mutual fund schemes,in order to meet liquidity requirements from time to time. However,there can be no assurance or guarantee that the investment objective of the scheme would be achieved.

    Low

    Low to Moderate

    Moderate

    Moderately High

    High

    Very High

    risk-indicator-arrow.svg

    Very High Risk

    Expense Ratio
    2.38
    Launched (13y ago)
    Mar 17, 2008
    AUM in Crores
    18.324
    ISIN
    INF336L01446
    Lock-in
    No Lock-in
    Benchmark
    MSCI EM GR INR
    SIP Minimum
    1000
    Lumpsum Min.
    5000
    Fund Managers
    user-avatar

    Anitha Rangan

    Fund Manager

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    Returns Calculator Comparison

    of

    for

    with step up of

    InstrumentReturnsTotal CorpusGainsAnnualised %
    Mutual Fund70%₹ 965,796 ₹ 233,18411.25%
    EPF70% ₹ 900,761 ₹ 168,1498.50%
    Property70% ₹ 867,662 ₹ 135,0507.00%
    PPF70% ₹ 869,819 ₹ 137,2077.10%
    Bank FD70% ₹ 846,471 ₹ 113,8596.00%
    Gold70% ₹ 846,471 ₹ 113,8596.00%
    Savings Bank70% ₹ 825,950 ₹ 93,3385.00%

    Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully before investing. Past performance is not an indicator of future returns.

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    • Inflation beating returns
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    comparison

    Comparison with International Equity Funds

    Fund NameScripbox OpinionFund SizeTrack Record

    Franklin India Feeder Franklin U S Opportunities Fund (G)

    recommended-badge

    ₹ 3,918 cr

    4

    recommended-badge

    ₹ 604 cr

    4

    ₹ 37 cr

    5

    ₹ 37 cr

    5

    ₹ 37 cr

    5

    amc-icon

    About the AMC

    HSBC Asset Management(India)Private Ltd

    HSBC Asset Management(India)Private Ltd manages assets worth 11,737 crores and was set up on 12 December 2001. It's current offering of mutual fund schemes includes 20 equity,66 debt and 17 hybrid funds.

    amc-img

  • tel-amc-about
    022-66145000
  • mail-amc-about
    hsbcmf@camsonline.com
  • Fund NameScripbox Opinion
    Till Date CAGR
    top-ranked-badge

    4.7%

    5.5%

    top-ranked-badge

    5%

    7.3%

    top-ranked-badge

    4.2%

    6%

    top-ranked-badge

    0%

    0%

    top-ranked-badge

    4.7%

    5.5%

    growth

    Build Long Term Wealth

    Invest in a scientifically curated set of equity mutual funds which are best aligned towards achieving any long term objectives you have.

    • graph-icon-gray
      Historical growth rate of 12% per annum
    • graph-icon-gray
      Recommended Duration 1 - 5 years
    • graph-icon-gray
      No Lock-in
    • graph-icon-gray
      Expert Investing Only, Retirement , Kids Education
    • graph-icon-gray
      One-click investing and tracking
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      Zero fees for all your investments

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    3,600+

    AUM

    2,500+

    Cities

    2012

    Established

    How does Scripbox rate funds?

    Proprietary 4-step system to rate mutual funds

    We use a proprietary system to rate mutual funds and based on that make a recommendation or rate the fund as top ranked.

    What Scripbox recommendations mean?
    Scripbox algorithm recommends 2-4 funds for investment for an investment asset class such as large cap, diversified, liquid etc. When you invest for an objective, the algorithm suggests the appropriate asset class and funds.
    Track Record

    Track Record

    We look at consistent and long historical performance for our analysis.

    Fund Size

    Fund Size

    We look at the size of the fund with respect to other funds in the category. Larger funds are preferred.

    Sub-asset Class View

    Sub-asset Class View

    We check if the sub-category of the fund is recommended by us.

    Fund Performance

    Fund Performance

    Consistency of performance over various tenures is analysed for a relative performance stack.

    Track Record

    Track Record

    We look at consistent and long historical performance for our analysis.

    Fund Size

    Fund Size

    We look at the size of the fund with respect to other funds in the category. Larger funds are preferred.

    Impact of Interest Rates

    Impact of Interest Rates

    We check the relative interest rate risk of the sub-category of the fund. Lower the better.

    Credit Attractiveness

    Credit Attractiveness

    We check the credit quality of the underlying instruments present in the fund. Higher the better.

    Equity Funds

    Debt Funds

    About HSBC Global Emerging Markets Fund (G)

    About HSBC Global Emerging Markets Fund (G)

    HSBC Global Emerging Markets Fund (G) is a International - Others International Equity fund and has delivered an annualised return of 5.2% over a period of 13 years. The fund was previously known as HSBC Emerging Markets Gr . The fund is managed by HSBC Asset Management(India)Private Ltd. The fund manager’s name is Anitha Rangan

    HSBC Global Emerging Markets Fund (G) Investment Objective

    The primary investment objective of the Scheme is to provide long term capital appreciation by investing predominantly in units/shares of HSBC Global Investment Funds - Global Emerging Markets Equity Fund. The Scheme may also invest a certain proportion of its corpus in money market instruments and / or units of liquid mutual fund schemes,in order to meet liquidity requirements from time to time. However,there can be no assurance or guarantee that the investment objective of the scheme would be achieved. . However, there is no assurance that the objective of the scheme will be realized.

    HSBC Global Emerging Markets Fund (G) NAV,AUM,Risk

    The HSBC Global Emerging Markets Fund (G) fund was launched on Mar 17, 2008. The NAV (Net Asset Value) of this International - Others International Equity fund as of 2021-09-23 is ₹19.78. The total AUM (Asset Under Management) of the fund as of 24/09/2021 is ₹18.324. The category risk of the HSBC Global Emerging Markets Fund (G) fund is Very High Risk. The fund charges 2.38 % as expense ratio.

    HSBC Global Emerging Markets Fund (G) Holdings

    The fund’s highest allocation is towards Equity and has invested 100.3% in this asset class. The top three holdings of the fund are , hsbc gif global emerging mkts eq s1d , cash

    HSBC Global Emerging Markets Fund (G) Sip

    The minimum SIP (Systematic Investment Plan) amount for this is ₹1000 and you can increase this in multiples of ₹ 100. In case you want to invest a lump sum, the minimum amount to be invested is ₹ 5000.

    HSBC Global Emerging Markets Fund (G) Investment volatility and Horizon

    This fund is meant for investors with a minimum investment horizon of 5-7 years. Due to the asset class nature, expect volatility in your investments over the short term. The fund is benchmarked to MSCI EM GR INR

    HSBC Global Emerging Markets Fund (G) Review

    HSBC Global Emerging Markets Fund (G) has a score of 2 on a scale of 5. The fund scores 4 out of 5 based on historical performance. As compared to the other funds in its category, HSBC Global Emerging Markets Fund (G) has a score of 1 out of 5 Scipbox has rated this fund 2 out of 5 based on consistency of performance over various years / tenures.

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