HSBC FTSE 250 Index Inc


Buy/Sell Price  (as of 09/12/2016) £1.622   Day Change :  0.37%     Fund Code:  HSFTS 

Important documents Before investing please ensure that you have read the Fidelity Key Features Document (incorporating the Fidelity Client Terms) and the fund information documents. These can be found by clicking on the 'Important documents' link.

Our View

This page shows the total fund charges, dividend information and general facts about the fund. For an explanation of each of the items click on the icon.

Annual Charges

Fund Features

Product Eligibility
ISAYes
Investment FundYes
Fidelity SIPP
SIPP (bought before 18/02/13)Yes
Minimum Investment
Initial£1,000
Top up£250
Monthly Savings� 50

Dividend Information

Historic Yield2.6282
Distribution Yield -
Underlying Yield -
Dividend FrequencyYearly
Ex-Div DatePer Share AmountReinvestment Price
15/05/2015£0.040550£1.677000
16/05/2014£0.034560£1.394090
16/05/2013£0.032950£1.326000
16/05/2012£0.028310£0.968000
16/05/2011£0.025060£1.086000
Source: Morningstar

Fund Facts

Fund Size  as of  31/10/2016£679.26million
Fund CodeHSFTS
ISINGB0000467703
SEDOL0046770
Fund TypeOEIC
Fund CurrencyGBP
Fund Comparative Index* -
Fund Launch Date07/10/1997
Fund ManagerNot Disclosed
Manager Start Date30/09/2016
Fund Manager Tenure0

Fund Provider

Fund Provider NameHSBC Global Asset Management (UK) Ltd
Country of registrationUnited Kingdom
Phone0800 181 890
Websitewww.assetmanagement.hsbc.com
AddressHSBC Global Asset Management (UK) Ltd
HSBC Global Asset Management (UK) Ltd.
1F, 78 St James's Street
SW1A 1EJ London
United Kingdom
Source: Morningstar


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