HSBC FTSE 250 UCITS ETF GBP
HMCX.L
✗ NOT COMPLIANT
☆ Track — members
Last Close
$31.37
▲ +0.57%
Key Metrics
NAV
$31.02
Net asset value
Expense Ratio
N/A
Annual (TER)
Net Assets
$78.95M
Fund AUM
Premium / Disc.
+1.13%
Price vs NAV
Dividend
$0.24
Latest distribution
RSI (14)
67.16
Momentum
Beta
1.17
vs Market
52W High
$31.94
1.04% below
52W Low
$26.14
22.64% above
Volume
8.07K
Avg 14.13K
Rel. Volume
0.57x
vs 30D avg
Volatility (30D)
9.17
30-day
Historical Returns
5D
-0.55%
1M
+3.18%
3M
+7.57%
6M
+4.33%
YTD
+9.98%
1Y
+13.27%
3Y
+45.47%
5Y
+1.96%
Fund Details
| Fund Type | ETF |
| Expense Ratio (TER) | N/A |
| Total Net Assets | $78.95M |
| NAV | $31.02 |
| Market Price | $31.37 |
| Premium / Discount | +1.13% |
| Last Dividend | $0.24 |
| Ex-Dividend Date | Jul 30, 2026 |
| Beta | 1.17 |
| Volatility (30D) | 9.17 |
| 52-Week High | $31.94 |
| 52-Week Low | $26.14 |
Technical Indicators
| 50-Day SMA | $30.39 |
| 200-Day SMA | $29.10 |
| RSI (14) | 67.16 |
| Beta | 1.17 |
| 52-Week High | $31.94 |
| 52-Week Low | $26.14 |
| Volume Today | 8.07K |
| Avg Daily Volume (30D) | 14.13K |
| Relative Volume | 0.57x |
| Volatility (10D) | 5.94 |
| Volatility (30D) | 9.17 |
| % Below 52W High | 1.04% |
