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HSBC Exchange Traded Funds Product Range

January 2017

For UK clients.
For professional clients only

HSBC Exchange Traded Funds Product Range

UK
Stock Bloomberg Reuters Base Trading Replication
FUND NAME OCF 3 ISIN Sedol Dividends Reporting UCITS IV Registration
Exchange ticker ticker Currency 1 Currency 2 method
Status 4
DEVELOPED MARKETS REGIONAL EXPOSURE
LSE GBP HMXJ LN HMXJ.L GBP IE00B5SG8Z57 B5SG8Z5
LSE USD HMXD LN HMXD.L USD IE00B5SG8Z57 B3Z8N00 Physical UK, FR, DE, IT, NL,
HSBC MSCI PACIFIC ex JAPAN UCITS ETF NYSE Euronext Paris MXJ FP MXJ.PA USD EUR 0.40% IE00B5SG8Z57 B60XHD2 Semi-annual Yes Compliant
Replication ES, SW, CH, IE, AT
SIX Swiss USD HMXJ SW HMXJ.S USD IE00B5SG8Z57 B5P4324
Deutsche Borse H4ZH GY & GR H4ZH.DE EUR DE000A1C22P6 B4WHBL4
LSE GBP HMEU LN HMEU.L GBP IE00B5BD5K76 B5BD5K7
NYSE Euronext Paris HEU FP HEU.PA EUR IE00B5BD5K76 B5MLFJ9 Physical UK, FR, DE, IT, NL,
HSBC MSCI EUROPE UCITS ETF SIX Swiss USD HMEU SW HMEU.S EUR USD 0.20% IE00B5BD5K76 B4V4L83 Semi-annual Yes Compliant
Replication ES, SW, CH, IE
SIX Swiss EUR HMEUEUR SW HMEUS.S EUR IE00B5BD5K76 B3R48F6
Deutsche Borse H4ZE GY & GR H4ZE.DE EUR DE000A1C22L5 B4WZVJ6
LSE GBP H50E LN H50E.L GBP IE00B4K6B022 B4K6B02
NYSE Euronext Paris 50E FP 50E.PA EUR IE00B4K6B022 B4KTPN2 Physical UK, FR, DE, IT, NL,
HSBC EURO STOXX 50 UCITS ETF SIX Swiss USD H50E SW H50E.S EUR USD 0.05% IE00B4K6B022 B4T2156 Semi-annual Yes Compliant
Replication ES, SW, CH, IE, AT
SIX Swiss EUR H50EEUR SW H50EE.S EUR IE00B4K6B022 B3RNLN2
Deutsche Borse H4ZA GY & GR H4ZA.DE EUR DE000A1C0BB7 B4WNQH3
LSE GBP HMWO LN HMWO.L GBP IE00B4X9L533 B5BD198
LSE USD HMWD LN HMWD.L USD IE00B4X9L533 B4X9L53 Physical UK, FR, DE, IT, NL,
HSBC MSCI WORLD UCITS ETF NYSE Euronext Paris WRD FP WRD.PA USD EUR 0.15% IE00B4X9L533 B4YCZD7 Quarterly Yes Optimisation Compliant ES, SW, CH, IE, AT
SIX Swiss USD HMWO SW HMWO.S USD IE00B4X9L533 B5W4MY2 Replication
Deutsche Borse H4ZJ GY & GR H4ZJ.DE EUR DE000A1C9KL8 B4VBPV5
DEVELOPED MARKETS SINGLE COUNTRY EXPOSURE
LSE GBP HSPX LN HSPX.L GBP IE00B5KQNG97 B5KQNG9
LSE USD HSPD LN HSPD.L USD IE00B5KQNG97 B64XYN7
Physical UK, FR, DE, IT, NL,
HSBC S&P 500 UCITS ETF NYSE Euronext Paris HHH FP HHH.PA USD EUR 0.09% IE00B5KQNG97 B5T03T5 Semi-annual Yes Compliant
Replication ES, SW, CH, IE, AT
SIX Swiss USD HSPX SW HSPX.S USD IE00B5KQNG97 B4Y3DG9
Deutsche Borse H4ZF GY & GR H4ZF.DE EUR DE000A1C22M3 B54FQ74
LSE GBP HUKX LN HUKX.L GBP IE00B42TW061 B42TW06
NYSE Euronext Paris UKX FP UKX.PA EUR IE00B42TW061 B4NQM28 Physical UK, FR, DE, IT, NL,
HSBC FTSE 100 UCITS ETF GBP 0.07% Semi-annual Yes Compliant
SIX Swiss USD HUKX SW HUKX.S USD IE00B42TW061 B55B529 Replication ES, SW, CH, IE
Deutsche Borse H4ZB GY & GR H4ZB.DE EUR DE000A1C0BC5 B51D2P1
LSE GBP HMUS LN HMUS.L GBP IE00B5WFQ436 B5WFQ43
LSE USD HMUD LN HMUD.L USD IE00B5WFQ436 B3Z7TR6
Physical UK, FR, DE, IT, NL,
HSBC MSCI USA UCITS ETF NYSE Euronext Paris MUS FP MUS.PA USD EUR 0.30% IE00B5WFQ436 B57D976 Semi-annual Yes Compliant
Replication ES, SW, CH, IE, AT
SIX Swiss USD HMUS SW HMUS.S USD IE00B5WFQ436 B5103K4
Deutsche Borse H4ZD GY & GR H4ZD.DE EUR DE000A1C22K7 B4YRY80
LSE GBP HMJP LN HMJP.L GBP IE00B5VX7566 B5VX756
LSE USD HMJD LN HMJD.L USD IE00B5VX7566 B4V1TC4
NYSE Euronext Paris MJP FP MJP.PA EUR IE00B5VX7566 B5LRD94 Physical UK, FR, DE, IT, NL,
HSBC MSCI JAPAN UCITS ETF USD 0.19% Semi-annual Yes Compliant
SIX Swiss USD HMJP SW HMJP.S USD IE00B5VX7566 B50ZTJ1 Replication ES, SW, CH, IE
SIX Swiss JPY HMJPJPY SW HMJPJPY.S JPY IE00B5VX7566 B7J4WR2
Deutsche Borse H4ZC GY & GR H4ZC.DE EUR DE000A1C0BD3 B4VZP39
Physical
HSBC FTSE 250 UCITS ETF LSE GBP HMCX LN HMCX.L GBP GBP 0.35% IE00B64PTF05 B64PTF0 Quarterly Yes Compliant UK, FR, IE, NL, ES
Replication
LSE GBP HCAN LN HCAN.L GBP IE00B51B7Z02 B57JD27
LSE USD HCAD LN HCAD.L USD IE00B51B7Z02 B51B7Z0
NYSE Euronext Paris HCAN FP HCAN.PA USD EUR IE00B51B7Z02 B4X4T87 Physical UK, FR, DE, IT, NL,
HSBC MSCI CANADA UCITS ETF 0.35% Semi-annual Yes Compliant
SIX Swiss CAD HCANCAD SW HCANCAD.S CAD IE00B51B7Z02 B5M79V7 Replication ES, SW, CH, IE
SIX Swiss USD HCAN SW HCAN.S USD IE00B51B7Z02 B592VC0
Deutsche Borse H4ZR GY & GR H4ZR.DE EUR DE000A1JF7N6 B4XWHP4
DEVELOPED MARKETS PROPERTY
LSE GBP HPRO LN HPROP.L GBP IE00B5L01S80 B5L01S8 UK, FR, DE, IT, NL,
Physical
HSBC FTSE EPRA/NAREIT DEVELOPED UCITS ETF LSE USD HPRD LN HPRD.L USD USD 0.40% IE00B5L01S80 B3LFHB4 Quarterly Yes Compliant ES, SW, IE
Replication
Deutsche Borse H4ZL GY & GR H4ZL.DE EUR DE000A1JXC78 BDC7PY8

1. The currency in which the ETF is valued and the dividends are published. 2. The currency in which the ETF is traded in the relevant exchange. 3. Ongoing Charges Figure. 4. HSBC FTSE 100 UCITS ETF and the HSBC EURO STOXX 50 UCITS ETF had UK distributor status for the
period from their launch until 31 December 2009. After this UK Reporting Fund status came into effect. All of our ETFs now have UK Reporting Fund status from 1 January 2010 or from the date of their launch if later.

www.etf.hsbc.com l 03457 456 123 l broker.sales@hsbc.com Please refer to page five for important information including risk warnings.
UK
Stock Bloomberg Reuters Base Trading Replication
FUND NAME OCF 3 ISIN Sedol Dividends Reporting UCITS IV Registration
Exchange ticker ticker Currency 1 Currency 2 method
Status 4

EMERGING MARKETS REGIONAL EXPOSURE


LSE GBP HMEF LN HMEF.L GBP IE00B5SSQT16 B5ZPRQ9 Physical
LSE USD HMEM LN HMEM.L USD IE00B5SSQT16 B5SSQT1 UK, FR, DE, IT, NL,
HSBC MSCI EMERGING MARKETS UCITS ETF USD 0.40% Quarterly Yes Optimisation Compliant
SIX Swiss USD HMEF SW HMEF.S USD IE00B5SSQT16 B5L27B9 ES, SW, IE, CH, AT
Replication
Deutsche Borse H410 GY & GR H410.DE EUR DE000A1JXC94 BDC7Q23
LSE GBP HMFE LN HMFE.L GBP IE00B5LP3W10 B5LP3W1
LSE USD HMFD LN HMFD.L USD IE00B5LP3W10 B3XMR13 Physical
UK, FR, DE, IT, NL,
HSBC MSCI EM FAR EAST UCITS ETF NYSE Euronext Paris MEM FP MEM.PA USD EUR 0.60% IE00B5LP3W10 B5KTC94 Semi-annual Yes Optimisation Compliant ES, SW, CH, IE
SIX Swiss USD HMFE SW HMFE.S USD IE00B5LP3W10 B59MNV3 Replication
Deutsche Borse H4ZI GY & GR H4ZI.DE EUR DE000A1C22Q4 B4TB4Y3
LSE GBP HMLA LN HMLA.L GBP IE00B4TS3815 B56T0F0
LSE USD HMLD LN HMLD.L USD IE00B4TS3815 B4TS381 Physical UK, FR, DE, IT, NL,
HSBC MSCI EM LATIN AMERICA UCITS ETF NYSE Euronext Paris HMLA FP HMLA.PA USD EUR 0.60% IE00B4TS3815 B4T3SB4 Quarterly Yes Compliant
Replication ES, SW, CH, IE
SIX Swiss USD HMLA SW HMLA.S USD IE00B4TS3815 B4RDC58
Deutsche Borse H4ZW GY & GR H4ZW.DE EUR DE000A1JF7T3 B4PJFC6
LSE GBP HMAF LN HMAF.L GBP IE00BBQ2W338 BBR6WH8 Physical
LSE USD HMAD LN HMAD.L USD IE00BBQ2W338 BBQ2W33 UK, FR, DE, IT, NL,
HSBC MSCI AC FAR EAST EX JAPAN UCITS ETF USD 0.60% Accumulated Yes Optimisation Compliant
Deutsche Borse H411 GY & GR H411.DE EUR DE000A1W2EK4 BDC7Q34 SW, CH, IE, AT
Replication
SIX Swiss USD HMAF SW HMAF.S USD IE00BBQ2W338 BKRC9F6
EMERGING MARKETS SINGLE COUNTRY EXPOSURE
LSE GBP HRUB LN HRUB.L GBP IE00B5LJZQ16 B62NTH8
LSE USD HRUD LN HRUD.L USD IE00B5LJZQ16 B5LJZQ1 Physical UK, FR, DE, IT, NL,
HSBC MSCI RUSSIA CAPPED UCITS ETF USD 0.60% Semi-annual Yes Compliant
SIX Swiss USD HRUB SW HRUB.S USD IE00B5LJZQ16 B60XPB6 Replication ES, SW, CH, IE, AT
Deutsche Borse H4ZM GY & GR H4ZM.DE EUR DE000A1JXC86 BDC7Q12
LSE GBP HMCH LN HMCH.L GBP IE00B44T3H88 B44T3H8
LSE USD HMCD LN HMCD.L USD IE00B44T3H88 B40S3X5 Physical UK, FR, DE, IT, NL,
HSBC MSCI CHINA UCITS ETF NYSE Euronext Paris CNY FP CNY.PA USD EUR 0.60% IE00B44T3H88 B4KRT78 Semi-annual Yes Compliant
Replication ES, SW, CH, IE
SIX Swiss USD HMCH SW HMCH.S USD IE00B44T3H88 B3T97G3
Deutsche Borse H4ZP GY & GR H4ZP.DE EUR DE000A1JF7LO B3T3XS9
LSE GBP HTWN LN HTNT.L GBP IE00B3S1J086 B430TV8
LSE USD HTWD LN HTWD.L USD IE00B3S1J086 B3S1J08 Physical UK, FR, DE, IT, NL,
HSBC MSCI TAIWAN UCITS ETF USD 0.60% Semi-annual Yes Compliant
SIX Swiss USD HTWN SW HTWN.S USD IE00B3S1J086 B3SLK27 Replication) ES, SW, CH, IE
Deutsche Borse H4ZU GY & GR H4ZU.DE EUR DE000A1JF7R7 B44JV85
LSE GBP HMYR LN HMYRM.L GBP IE00B3X3R831 B4885P3
LSE USD HMYD LN HMYD.L USD IE00B3X3R831 B3X3R83 Physical UK, FR, DE, IT, NL,
HSBC MSCI MALAYSIA UCITS ETF USD 0.60% Semi-annual Yes Compliant
SIX Swiss USD HMYR SW HMYR.S USD IE00B3X3R831 B3RSM78 Replication ES, SW, CH, IE
Deutsche Borse H4ZV GY & GR H4ZV.DE EUR DE000A1JF7S5 B3SR8W1
LSE GBP HIDR LN HIDRI.L GBP IE00B46G8275 B40Y0X2
LSE USD HIDD LN HIDD.L USD IE00B46G8275 B46G827 Physical UK, FR, DE, IT, NL,
HSBC MSCI INDONESIA UCITS ETF USD 0.60% Semi-annual Yes Compliant
SIX Swiss USD HIDR SW HIDR.S USD IE00B46G8275 B3X4ZQ0 Replication ES, SW, CH, IE
Deutsche Borse H4ZT GY & GR H4ZT.DE EUR DE000A1JF7Q9 B3V0C58
LSE GBP HKOR LN HKOR.L GBP IE00B3Z0X395 B3QHF77
LSE USD HKOD LN HKOD.L USD IE00B3Z0X395 B3Z0X39 Physical UK, FR, DE, IT, NL,
HSBC MSCI KOREA UCITS ETF USD 0.60% Semi-annual Yes Compliant
SIX Swiss USD HKOR SW HKOR.S USD IE00B3Z0X395 B3SSPB2 Replication ES, SW, CH, IE
Deutsche Borse H4Z9 GY & GR H4Z9.DE EUR DE000A1JXC60 BDC7PX7
LSE GBP HBRL LN HBRL.L GBP IE00B5W34K94 B431M67
LSE USD HMBR LN HMBR.L USD IE00B5W34K94 B5W34K9 Physical UK, FR, DE, IT, NL,
HSBC MSCI BRAZIL UCITS ETF NYSE Euronext Paris HBZ FP HBZ.PA USD EUR 0.60% IE00B5W34K94 B5MSL81 Semi-annual Yes Compliant
Replication ES, SW, CH, IE
SIX Swiss USD HBRL SW HBRL.S USD IE00B5W34K94 B5NNMW6
Deutsche Borse H4ZG GY & GR H4ZG.DE EUR DE000A1C22N1 B4YBZ89
LSE GBP HMEX LN HMEX.L GBP IE00B3QMYK80 B3VQZM4
LSE USD HMED LN HMEDC.L USD IE00B3QMYK80 B3QMYK8 Physical UK, FR, DE, IT, NL,
HSBC MSCI MEXICO CAPPED UCITS ETF USD 0.60% Semi-annual Yes Compliant
SIX Swiss USD HMEX SW HMEX.S USD IE00B3QMYK80 B3T7V76 Replication ES, SW, CH, IE
Deutsche Borse H4ZS GY & GR H4ZS.DE EUR DE000A1JF7P1 B444WR6
LSE GBP HZAR LN HZAR.L GBP IE00B57S5Q22 B4WN004
LSE USD HZAD LN HZAD.L USD IE00B57S5Q22 B57S5Q2 Physical UK, FR, DE, IT, NL,
HSBC MSCI SOUTH AFRICA UCITS ETF NYSE Euronext Paris HZAR FP HZAR.PA USD EUR 0.60% IE00B57S5Q22 B5WJDW2 Semi-annual Yes Compliant
Replication ES, SW, CH, IE
SIX Swiss USD HZAR SW HZAR.S USD IE00B57S5Q22 B3QH9F3
Deutsche Borse H4ZQ GY & GR H4ZQ.DE EUR DE000A1JF7M8 B3XV3W3
LSE GBP HTRY LN HTRY.L GBP IE00B5BRQB73 B57QMP4
LSE USD HTRD LN HTRD.L USD IE00B5BRQB73 B5BRQB7 Physical UK, FR, DE, IT, NL,
HSBC MSCI TURKEY UCITS ETF NYSE Euronext Paris HTR FP HTR.PA USD EUR 0.60% IE00B5BRQB73 B50S183 Semi-annual Yes Compliant
Replication ES, SW, CH, IE
SIX Swiss USD HTRY SW HTRY.S USD IE00B5BRQB73 B5BCP15
Deutsche Borse H4ZK GY & GR H4ZK.DE EUR DE000A1H49V6 B5V7Y02

1. The currency in which the ETF is valued and the dividends are published. 2. The currency in which the ETF is traded in the relevant exchange. 3. Ongoing Charges Figure. 4. HSBC FTSE 100 UCITS ETF and the HSBC EURO STOXX 50 UCITS ETF had UK distributor status for the
period from their launch until 31 December 2009. After this UK Reporting Fund status came into effect. All of our ETFs now have UK Reporting Fund status from 1 January 2010 or from the date of their launch if later.

www.etf.hsbc.com l 03457 456 123 l broker.sales@hsbc.com Please refer to page five for important information including risk warnings.
UK
Stock Bloomberg Base Trading Replication
FUND NAME Reuters ticker OCF 3 ISIN Sedol Dividends Reporting UCITS IV Registration
Exchange ticker Currency 1 Currency 2 method
Status 4
GLOBAL MARKETS BROAD EXPOSURE
LSE GBP HEWA LN HEWA.L GBP IE00BKZG9Y92 BKZG9Z0
HSBC ESI WORLDWIDE EQUITY UCITS ETF USD 0.25% Quarterly Yes Replication Compliant UK
LSE USD HEWD LN HEWD.L USD IE00BKZG9Y92 BKZG9Y9
LSE GBP HWWA LN HWWA.L GBP IE00BKZGB098 BKZGB10
HSBC WORLDWIDE EQUITY UCITS ETF USD 0.25% Quarterly Yes Optimisation Compliant UK
LSE USD HWWD LN HWWD.L USD IE00BKZGB098 BKZGB09

1. The currency in which the ETF is valued and the dividends are published. 2. The currency in which the ETF is traded in the relevant exchange. 3. Ongoing Charges Figure. 4. HSBC FTSE 100 UCITS ETF and the HSBC EURO STOXX 50 UCITS ETF had UK distributor status for the
period from their launch until 31 December 2009. After this UK Reporting Fund status came into effect. All of our ETFs now have UK Reporting Fund status from 1 January 2010 or from the date of their launch if later.

www.etf.hsbc.com l 03457 456 123 l broker.sales@hsbc.com Please refer to page five for important information including risk warnings.

Important Information Tax:


This document is intended for Professionals Clients in the UK only and should not be distributed to or relied The information in this document is based on HSBCs interpretation of current legislation and HM Revenue & Customs
upon by retail clients. practice. While we believe that this interpretation is correct, we cannot guarantee it. Legislation and tax practice may
change in the future. Tax treatment is based upon individual client circumstances.
The material contained herein is for information only and does not constitute investment advice or a recommendation to
any reader of this material to buy or sell investments. Index disclaimer:
The EURO STOXX 50 is the intellectual property (including registered trademarks) of Stoxx Limited, Zurich, Switzerland
Care has been taken to ensure the accuracy of this document but HSBC Global Asset Management (UK) Limited accepts and/or Dow Jones & Company, Inc., a Delaware corporation, New York, USA, (the Licensors), which is used under
no responsibility for any errors or omissions contained therein. license. The securities based on the Index are in no way sponsored, endorsed, sold or promoted by the Licensors and
Fund information: neither of the Licensors shall have any liability with respect thereto.
The HSBC ETFs are sub-funds of HSBC ETFs plc (the Company), an investment company with variable capital and All rights in the FTSE 100 and the FTSE 250 (the Indices) vest in FTSE International Limited (FTSE). FTSE is
segregated liability between sub-funds, incorporated in Ireland as a public limited company, and is authorised by the a trademark of London Stock Exchange Group companies and is used by FTSE under licence. The HSBC FTSE 100
Central Bank of Ireland. The company is constituted as an umbrella fund, with segregated liability between sub-funds. UK UCITS ETF and the HSBC FTSE 250 UCITS ETF (the Products) have been developed solely by HSBC Global Asset
based investors in HSBC ETFs plc are advised that they may not be afforded some of the protections conveyed by the Management (UK) Limited. The Indices are calculated by FTSE or its agent. FTSE and its licensors are not connected to
Financial Services and Markets Act (2000), (the Act). The Company is recognised in the United Kingdom by the Financial and do not sponsor, advise, recommend, endorse or promote the Products and do not accept any liability whatsoever
Conduct Authority under section 264 of the Act. Shares purchased on the secondary market cannot usually be sold to any person arising out of (a) the use of, reliance on or any error in the Indices or (b) investment in or operation of the
directly back to the Company. Investors must buy and sell shares on the secondary market with the assistance Products. FTSE makes no claim, prediction, warranty or representation either as to the results to be obtained from the
of an intermediary (e.g. a stockbroker) and may incur fees for doing so. In addition, investors may pay more Products or the suitability of the Indices for the purpose to which they are being put by HSBC Global Asset Management
than the current Net Asset Value per share when buying shares and may receive less than the current Net (UK) Limited.
Asset Value per Share when selling them. The shares in HSBC ETFs plc have not been and will not be offered for sale
or sold in the United States of America, its territories or possessions and all areas subject to its jurisdiction, or to United FTSE is a trade mark of the London Stock Exchange Group companies, NAREIT is a trade mark of the National
States Persons. Affiliated companies of HSBC Global Asset Management (UK) Limited may make markets in HSBC ETFs Association of Real Estate Investment Trusts (NAREIT) and EPRA is a trade mark of the European Public Real
plc. All applications are made on the basis of the current HSBC ETFs plc Prospectus, relevant Key Investor Information Estate Association (EPRA) and all are used by FTSE International Limited (FTSE) under licence). The FTSE EPRA/
Document (KIID), Supplementary Information Document (SID) and Fund supplement, and most recent annual and semi- NAREIT Developed Index is calculated by FTSE. Neither FTSE, Euronext N.V., NAREIT nor EPRA sponsor, endorse or
annual reports, which can be obtained upon request free of charge from HSBC Global Asset Management (UK) Limited, 8 promote this product and are not in any way connected to it and do not accept any liability.
Canada Square, Canary Wharf, London, E14 5HQ. UK, or from a stockbroker or financial adviser. Investors and potential The funds or securities referred to herein are not sponsored, endorsed, or promoted by MSCI, and MSCI bears no liability
investors should read and note the risk warnings in the prospectus, relevant KIID and Fund supplement (where with respect to any such funds or securities or any index on which such funds or securities are based. The Supplement
available) and additionally, in the case of retail clients, the information contained in the supporting SID. to the Prospectus contains a more detailed description of the limited relationship MSCI has with HSBC ETFs plc and any
Restrictions: related funds.
The shares in HSBC ETFs plc have not been and will not be offered for sale or sold in the United States of America, Standard & Poors and S&P are registered trademarks of Standard & Poors Financial Services LLC (S&P) and
its territories or possessions and all areas subject to its jurisdiction, or to United States Persons. Affiliated companies of Dow Jones is a registered trademark of Dow Jones Trademark Holdings LLC (Dow Jones) and have been licensed
HSBC Global Asset Management (UK) Limited may make markets in HSBC ETFs plc. for use by S&P Dow Jones Indices LLC and sublicensed for certain purposes by HSBC Global Asset Management (UK)
Risk warning: Limited. The S&P 500 and the S&P BRIC 40 are products of S&P Dow Jones Indices LLC, and have been licensed for
The value of investments and any income from them can go down as well as up and investors may not get back the use by HSBC Global Asset Management (UK) Limited. HSBC Global Asset Management (UK) Limiteds HSBC S&P 500
amount originally invested. Stockmarket investments should be viewed as a medium to long term investment and should UCITS ETF and HSBC S&P BRIC 40 UCITS ETF are not sponsored, endorsed, sold or promoted by S&P Dow Jones
be held for at least five years. Indices LLC, Dow Jones, S&P, their respective affiliates, and neither S&P Dow Jones Indices LLC, Dow Jones, S&P, their
respective affiliates make any representation regarding the advisability of investing in such product(s).
Where overseas investments are held the rate of currency exchange may also cause the value of such investments
to fluctuate. HSBC Global Asset Management (UK) Limited provides information to Institutions, Professional Advisers and their clients
on the investment products and services of the HSBC Group.
Emerging market risk: Investments in emerging markets are by their nature higher risk and potentially more volatile than
those inherent in some established markets. This document is approved for issue in the UK by HSBC Global Asset Management (UK) Limited, who are authorised
and regulated by the Financial Conduct Authority. Copyright HSBC Global Asset Management (UK) Limited 2017.
Geographic risk: Some of the ETFs invest predominantly in one geographic area; therefore any decline in the economy of All rights reserved. 28155CP/0316ED/FP16-0660. EXP: 050118.
this area may affect the prices and value of the underlying assets. Professional Clients in the UK
Russian Risk: There are significant risks inherent in investing in Russia, which could affect the value of investment. www.assetmanagement.hsbc.com/uk
These include a lack of clarity in laws and regulations in the following areas: investor protection, banks and other financial
services, the Russian economic system, taxation, transaction settlement and fiduciary duty and responsibilities of To help improve our service and in the interests of security we may record and/or monitor your communication with us.
company management. Please see the supplement for full information.
Property Risk: The value of interests in real estate companies may be affected by changes in interest rates, tax laws and
environmental laws and regulations. While the value of interests in REITs may be affected by the value of the property
owned or the quality of the mortgages held by the trust.