Directory / HSBC / North American Equity Fund
North American Equity Fund
HSBC
Equity Fund
Source: MPFA Fund Platform · Data as of 2026-07-31
Risk class
5
1 (lowest) to 7 (highest)
Latest calendar year return
+14.95%
2025
Fund size
23,422.69
HK$m · Launched 2000-12-01
Fund details
Fund categoryEquity Fund - United States Equity Fund
SchemeHSBC Mandatory Provident Fund - SuperTrust Plus
Launch date2000-12-01
Fund size (HK$m)23,422.69
Fund expense ratio1.32%
Default Investment Strategy fund—
Data as of2026-07-31
Annualized returns (% p.a.)
1 year20.31%
5 years10.78%
10 years12.74%
Since launch5.79%
Cumulative returns (%)
1 year20.31%
5 years66.88%
10 years231.93%
Since launch324.21%
Fee breakdown
Management fees total (% p.a.)1.085%
Trustee / custodian fee (% p.a.)0.15%
eMPF platform fee (% p.a.)0.29%
Member servicing fee (% p.a.)0.09%
Investment management fee (% p.a.)0.555%
Guarantee charge (% p.a.)0.00%
Past performance is not indicative of future results. This is not financial advice.
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