HSBC Opportunity Fund

Overview of share class details including ticker, CUSIP, and inception date
Inception Date September 23, 1996
Fund Assets (as of 4/18/2019) $9.65 Million
Daily Nav (as of 4/18/2019) $9.35
Ticker HSOAX
Cusip 404281586
Benchmark Russell 2500™ Growth Index
Fund Description The investment objective of the Fund is long-term growth of capital.
Portfolio Manager Management Team
Dividend Frequency Semi-Annually
Maximum Sales Charge 5.00%