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The Fund Risk Level stated in this website is determined according to the historical volatility of the fund or, where appropriate, the historical volatility of a comparable market index or comparable fund:
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Secure Risk Level 0
Very Cautious Risk Level 1
Cautious Risk Level 1 – 2
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Fund Code: PEMUR
PIMCO Emerging Markets Bond Fund E Class Distributing USD reinvest       
Risk Level: 2
Offering Document: 
 
Investment Objective
The investment objective of the Fund is to seek to maximise total return, consistent with prudent investment management. The Fund seeks to achieve its investment objective by investing at least 80% of its assets in Fixed Income Instruments of issuers that economically are tied to countries with emerging securities markets. Such securities may be denominated in non-U.S. currencies and the USD. The Fund will consider an issuer to be economically tied to a country with an emerging securities market if (1) the issuer maintains its registered office in the country or (2) the issuer has predominant operations in the country. The average portfolio duration of this Fund will normally be within two years (plus or minus) of the JP Morgan Emerging Markets Bond Index Global (the “Index”).
Investment Strategy
HSBC investment category:
Emerging Markets Bond
Investment type:
Fixed Income
Investment style:
Fixed Income
Interest rate sensitivity:
-
Investment instrument:
Stock, Bond, Cash, Other
Investment style is only applicable for funds that invest in equities. Interest rate sensitivity is only applicable for funds that invest in fixed income product.
Fund Portfolio
(as of 30-06-2024)
Asset allocation
Stock
Bond
Cash
Other
0.31%
132.30%
-33.02%
0.42%
Bond holdings sector allocation
Top 5 bond holdings country exposure
Country exposure %
United States 17.51
Mexico 8.90
Indonesia 3.83
Turkey 3.83
Saudi Arabia 3.67
Top 10 holdings
Holding % of net asset
10 Year Treasury Note Future Sept 24 11.52
Top 10 underlying holdings
% of asset in Top 10 holdings -
PIMCO US Dollar S/T Fl NAV Z USD Inc 1.25
Top 10 underlying holdings
Holding % of net asset
Haleon UK Capital PLC 3.125% 0.85
United States Treasury Notes 4.73271% 0.81
Reynolds American Inc. 4.45% 0.68
NextEra Energy Capital Holdings Inc 6.051% 0.60
HCA Inc. 5.25% 0.53
United States Treasury Notes 4.76171% 0.53
American Honda Finance Corporation 5.99363% 0.52
Carrier Global Corporation 2.242% 0.52
Bank of America Corp. 2.456% 0.52
Wells Fargo & Co. 2.406% 0.51
% of asset in Top 10 holdings 6.08
5 Year Treasury Note Future Sept 24 6.04
Top 10 underlying holdings
% of asset in Top 10 holdings -
Mexico (United Mexican States) 3% 3.34
Top 10 underlying holdings
% of asset in Top 10 holdings -
United States Treasury Bonds 3.25% 2.27
Top 10 underlying holdings
% of asset in Top 10 holdings -
RFR USD SOFR/3.75000 12/18/24-5Y LCH Receive 2.27
Top 10 underlying holdings
% of asset in Top 10 holdings -
INDONESIA AS SP GST 1.89
Top 10 underlying holdings
% of asset in Top 10 holdings -
IRS CZK 4.17500 11/07/23-5Y CME Receive 1.77
Top 10 underlying holdings
% of asset in Top 10 holdings -
CHINA AS SP BRC 1.76
Top 10 underlying holdings
% of asset in Top 10 holdings -
QATAR GOVT EM SP GLM 1.50
Top 10 underlying holdings
% of asset in Top 10 holdings -
ZCS BRL 9.84208 03/12/24-01/04/27 CME Receive 1.46
Top 10 underlying holdings
% of asset in Top 10 holdings -
% of asset in Top 10 holdings 33.83
Fund Performance
(as of 30-09-2024)
Fund: PIMCO Emerging Markets Bond Fund E Class Distributing USD reinvest
Index:
Fund indexed performance (initial value =100%). Performance statistics are based on offer-bid prices of the fund with dividend reinvested, in fund class currency
  • 2019
  • 2020
  • 2021
  • 2022
  • 2023
  • YTD
  • 8.88
  • 0.95
  • -8.00
  • -21.91
  • 5.26
  • 3.74
  • -
  • -
  • -
  • -
  • -
  • -
Fund Price Information
(as of 11-10-2024)
Fund price movement is calculated on Offer to Bid basis in fund class currency (USD).
Indicative fund price:
  • NAV:
USD 9.68
  • Bid:
-
  • Offer:
-
Change vs previous trading day:
0.00%
52 week low-high:
USD 8.44 - USD 9.94
Fund price information is provided based on the latest fund trading date.
Dividend Information
(as of 30-09-2024)
Target distribution frequency:
Quarterly
Dividend yield:
5.44%
Last dividend paid (per unit):
USD 0.15
Last ex-dividend date:
27-09-2024
Dividend yield is the dividend amount declared over the past twelve months as a percentage of the last month-end fund unit price, show in 2 decimal places. The amount of dividend may not be guaranteed by Fund House.
Yield And Credit Information
(as of 30-06-2024)
Average current yield:
5.89%
Average yield to maturity:
-
Average duration:
-
Average credit quality:
BBB
Credit quality breakdown:
% %
AAA 11.18 BB 28.92
AA 6.72 B 0.43
A 11.38 Below B 0.00
BBB 41.33 Not Rated 0.03
Current yield refers to the annual interest of the bonds divided by the market price of a bond. Yield to maturity is the rate of return anticipated on a bond if it is held until the maturity date, assumed that all coupons are reinvested at the same rate. Duration is a measure of the sensitivity of the price (the value of principal) of a fixed-income investment to a change in interest rates. Credit quality is based on Standard and Poor’s classification.
Fund Statistic
(as of 30-09-2024)
Annualised return:
-2.30%
Standard deviation:
10.45%
Sharpe ratio:
-0.36
Alpha:
-0.23
Beta:
0.97
Fund statistics are calculated by using 3 years historical data, and are not calculated for fund which is less than 3 years old.
Sharpe ratio: Morningstar Asia Limited used the USD as the risk free factor for calculation
Alpha & Beta: Morningstar Asia Limited Used USD as the benchmark index for calculation
Fees and Charges
Initial charge:
0.05
Annual management fee (maximum):
1.69% (Unified Management Fee)
Distribution fee:
-
Redemption fee:
0
Performance fee:
-
Highest contingent deferred sales charge:
-
Switching Fee:
-
The listed information may not cover all the fees and charges imposed on a fund. Please refer to the respective offering documents of the fund for details of relevant fees and charges.
Other Fund Information
Fund class currency:
USD
Fund class inception date:
28-10-2005
Fund share class size (Million):
USD 48.45
(as of 30-09-2024)
Fund manager
(Start date):
Yacov Arnopolin (01-05-2017)
Javier Romo (07-05-2019)
Pramol Dhawan (14-06-2019)
Fund house:
PIMCO Asia Pte Ltd
Morningstar Rating:

(as of 30-09-2024)
ISIN:
IE00B0MD9S72
Initial Investment Amount:
1000
Other fund classes available with HSBC:
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Disclaimers:


The declaration of distribution is at the sole discretion of the Fund Manager and is not guaranteed. The dividend information is for your reference only and it is not indicative of future performance.

The information in this website relating to Unit Trusts are provided by Morningstar Asia Limited (“Information Provider”) to HSBC Bank (Singapore) Limited (the “Bank”) unless otherwise specified. For technical reasons, certain information provided by Information Provider may be different from that supplied by the respective fund houses. Neither the Information Provider nor the Bank guarantee or endorse the accuracy, reliability and completeness of the information provided by the Information Provider or that it is up-to date, and that such information has not been independently verified by the Bank. The Bank disclaims liability for any errors, omissions or inaccuracies in the information provided in this website. The Bank also disclaims liability for any loss or damages resulting from the use of information contained herein, or the inability to use such information or in connection with any error, interruption, delay in operation or incomplete transmission, line or system failure. The information contained herein is solely for personal and non-commercial use and for reference only, and the information are not intended to provide professional advice nor is HSBC, in providing such information intended to be advising on Unit Trust. The information contained in this website is not and should not be construed as an offer to sell or the solicitation of an offer to purchase or subscribed for any Unit Trusts or other investments or products or deposit. The information contain herein may not be copied or re-distributed by any means.


Investment involves risk. Investments are not obligations of, deposits in, insured or guaranteed by HSBC Bank (Singapore) Limited. The information contained on this web site is intended for Singapore residents only and should not be construed as a distribution, an offer to sell, or a solicitation to buy any securities in any jurisdiction where such activities would be unlawful under the laws of such jurisdiction, in particular the United States of America and Canada. You should refer to the website disclaimers for further important details.


The Fund Risk Level stated in this website is determined according to the historical volatility of the fund or, where appropriate, the historical volatility of a comparable market index or comparable fund. You should refer to the detailed definition of fund risk level here.


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