HSBC ETFs PLC HSBC EUROPE EX UK SUSTAINABLE EQUITY UCITS ETF Marketing communication | Monthly report 31 January 2025 | HSXU LN | EUR (Dist) This product is based overseas and is not subject to UK sustainable investment labelling and disclosure requirements. Share class detailsInvestment objective Key metrics The Fund aims to track as closely as possible the returns of the FTSE Developed Europe ex UKNAV per share EUR 16.05 ESG Low Carbon Select Index (the “Index”). The Fund will invest in, or gain exposure to shares of Performance 1 month 5.62% companies which make up the Index. The Fund qualifies under Article 8 of SFDR. Fund facts UCITS V compliant YesInvestment strategy UK reporting fund status Yes (UKRS) The Index is a subset of the FTSE Developed Europe ex UK Index (the “Parent Index”) and made up of companies in the developed countries in Europe ex UK, as determined by the Index ISA eligible Yes provider. Dividend treatmentDistributing The Index seeks to achieve a reduction in carbon emissions and fossil fuel reserves exposure, and Distribution frequency Semi-Annually an improvement of the FTSE Russell ESG rating against that of the Parent Index. It excludes shares of companies with exposure to: tobacco, thermal coal extraction, electricity generation, Dividend ex-date 30 January 2025 gambling, adult entertainment and controversial weapons. The Index also applies the United Dividend yield¹ 2.58% Nations Global Compact exclusionary criteria. Last paid dividend 0.059400 The Fund will be passively managed and will aim to invest in the shares of the companies in generally the same proportion as in the Index. Dividend currency EUR The Fund may invest up to 35% in securities from a single issuer during exceptional market Fund base currencyEUR conditions, up to 10% in total return swaps and contracts for difference and up to 10% in other Currency Hedged Not Hedged funds. Share class base currency EUR See the Prospectus for a full description of the investment objectives and derivative usage. Domicile Ireland Inception date 21 April 2022 Main risks Shares outstanding 3,221,000 • The value of investments and any income from them can go down as well as up and Fund sizeEUR 51,688,363investors may not get back the amount originally investedReference 100% FTSE Developed • Where overseas investments are held the rate of currency exchange may cause the value of benchmark Europe ex UK ESG Lowsuch investments to go down as well as up.Carbon Emissions Select • The value of investible securities can change over time due to a wide variety of factors, Indexincluding but not limited to: political and economic news, government policy, changes in Replication method Physical- Fulldemographics, cultures and populations, natural or human-caused disasters etc. SIPP eligible Yes IssuerHSBC ETFs PLC Fund facts Fiscal year endDec Fund manager HSBC Global Asset Management (UK) LimitedFees and expenses Custodian HSBC Continental Europe Ongoing charge figure² 0.150% Fund administratorHSBC Securities Services (Ireland) DACCodes ISIN IE00BKY58625 SEDOL BL6VM41 ¹Dividend Yield: represents the ratio of distributed income over the last 12 months to the fund’s current Net Asset Value. ²Ongoing Charges Figure is based on expenses over a year. The figure includes annual management charge but not the transaction costs. Such figures may vary from time to time. Past performance does not predict future returns. The figures are calculated in the share class base currency, dividend reinvested, net of fees. This is a marketing communication. Please refer to the prospectus and to the KID before making any final investment decisions. For definition of terms, please refer to the Glossary QR code and Prospectus. Source: HSBC Asset Management, data as at 31 January 2025 HSBC ETFs PLC HSBC EUROPE EX UK SUSTAINABLE EQUITY UCITS ETF Monthly report 31 January 2025 | HSXU LN | EUR (Dist) PerformanceFund Reference Benchmark Return index rebased to 130 100 on starting date 1201101009006/2212/22 06/2312/23 06/24 12/24Since inception Performance (%)YTD 1 month 3 months 6 months 1 year 3 years ann 5 years ann ann Fund 5.625.62 5.05 4.37 14.23 ----10.66 Reference Benchmark 5.58 5.585.01 4.35 13.99 ----10.36 Tracking difference 0.03 0.030.04 0.020.25 ---- 0.30 Tracking error-- -- -- --0.11 ---- 0.1431/01/24- 31/01/23- 31/01/22- 31/01/21- 31/01/20- Rolling performance (%)31/01/25 31/01/2431/01/23 31/01/22 31/01/21 Fund 14.23 13.04 ------ Reference Benchmark13.9912.69 ---- -- ReferenceBenchmark information Equity characteristics Fund Benchmark Index name 100% FTSE Developed Europe ex UK ESG Low No. of holdings ex cash 168 -- Carbon Emissions Select Index Average market cap (EUR Mil) 95,78895,794 Index currency EUR Price/earning ratio 12.8312.83 TR Index Bloomberg TickerELCEXUN TR Index Reuters RIC.TFTELCEXUNE Sector allocation (%)Financials26.39 Consumer Discretionary 15.45 Industrials14.10 Health Care 11.25Telecommunications 8.61 Consumer Staples 8.46 Utilities 7.53 Technology 5.24 Energy 1.91 Basic Materials 0.71 Real Estate0.03 Cash & Others 0.32 Fund Past performance does not predict future returns. The figures are calculated in the share class base currency, dividend reinvested, net of fees. Broad Market Index: FTSE Europe Ex UK Source: HSBC Asset Management, data as at 31 January 2025 HSBC ETFs PLC HSBC EUROPE EX UK SUSTAINABLE EQUITY UCITS ETF Monthly report 31 January 2025 | HSXU LN | EUR (Dist)Geographical allocation (%) United States 18.69 Germany 18.66 France 14.71 Netherlands 8.83 Switzerland 7.90 Sweden6.64Spain 5.87 Denmark 5.41 Italy 4.86 Finland 2.28 Other Locations 5.83Cash & Others 0.32 Fund Top 10 holdingsSector Weight (%) Nestle SA Consumer Staples 5.92 BNP Paribas SA Financials5.54 Deutsche Boerse AG Financials5.41 L'Oreal SA Consumer Discretionary4.59 UBS Group AG Financials3.97 Enel SpA Utilities 3.66 ASML Holding NVTechnology3.34 Schneider Electric SE Industrials 3.04 Siemens AG Industrials 3.03 Novartis AGHealth Care 2.94 Trading Bloomberg iNAV Exchange name Listing datecurrencyTrading hours tickerReuters RIC Bloomberg iNAV Reuters LONDON STOCK EXCHANGE 22 Apr 2022 GBP 08:00 - 16:30 HSXE LN HSXE.L HSXGBPIVHSXEGBPINAV=SOLA -- -- #N/A HSMX GR -- HSMXEUIV HSMXEUiv.P LONDON STOCK EXCHANGE 22 Apr 2022 USD 08:00 - 16:30 HSXU LN HSXU.L HSXUUSIV HSXUUSDINAV=SOLA Source: HSBC Asset Management, data as at 31 January 2025 HSBC ETFs PLC HSBC EUROPE EX UK SUSTAINABLE EQUITY UCITS ETF Monthly report 31 January 2025 | HSXU LN | EUR (Dist) Broad marketFTSE ESG Score ESG scoreE S G Sustainability indicators Fund indexFund 4.4 4.3 4.4 4.6 Carbon emissions intensity* 44.04 95.82 Broad market index 3.9 3.5 3.9 4.3 Fossil fuel reserves intensity** 623.11 911.48 Provides a measure of a company's exposure to, and management of, ESG *Carbon Intensity measures the quantity of carbon emission of a issues in multiple dimensions. The ESG Ratings are comprised of an company (tonnes CO²e/USD million revenue) overall Rating that breaks down into underlying Pillar and Thematic Source: S&P Global Trucost Exposures and Scores. A higher number indicates a more favourable ESG **Fossil Fuel Reserves Intensity describes the quantities of greenhouse profile in the view of FTSE. gas emissions that could be generated if the proven and probable fossil fuel reserves owned by companies were realised and burned. (tonnes CO²e/USD million Market Cap) Broad Market Index: FTSE Europe Ex UK Source: HSBC Asset Management, data as at 31 January 2025 HSBC ETFs PLC HSBC EUROPE EX UK SUSTAINABLE EQUITY UCITS ETF Monthly report 31 January 2025 | HSXU LN | EUR (Dist) Follow us on: Risk disclosuresHSBC Asset Management • To the extent that the Fund seeks to replicate index performance by holding individual securities, there is no guarantee that its composition or performance will exactly match that of the target index at any given time (“tracking error”).E-mail: etf.client.services@hsbc.com • Derivatives may be used by the Fund, and these can behave unexpectedly. The pricing and Website: www.etf.hsbc.com volatility of many derivatives may diverge from strictly reflecting the pricing or volatility of For more information please contact us their underlying reference(s), instrument or asset. at E-mail: • Investment Leverage occurs when the economic exposure is greater than the amount Wholesale.clientservices@hsbc.com. invested, such as when derivatives are used. A Fund that employs leverage may experience www.assetmanagement.hsbc.com/uk greater gains and/or losses due to the amplification effect from a movement in the price of To help improve our service and in the the reference source.interests of security we may record and/ • Where overseas investments are held the rate of currency exchange may cause the value of or monitor your communication with us. such investments to go down as well as up. • Further information on the potential risks can be found in the Key Information Document (KID) and/or the Prospectus or Offering Memorandum. Glossarywww.assetmanagement.hsbc.co.uk/en/api/v1/download/document/gb00b80qg615/gb/en/glossary Index disclaimer FTSE International Limited ("FTSE") © FTSE 2025. "FTSE®" is a trade mark of the London Stock Exchange Group companies and is used by FTSE International Limited under licence. All rights in the FTSE indices and / or FTSE ratings vest in FTSE and/or its licensors. Neither FTSE nor its licensors accept any liability for any errors or omissions in the FTSE indices and / or FTSE ratings or underlying data. No further distribution of FTSE Data is permitted without FTSE's express written consent. Source: MSCI. The MSCI information may only be used for your internal use, may not be reproduced or redisseminated in any form and may not be used as a basis for or a component of any financial instruments or products or indices. None of the MSCI information is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. Historical data and analysis should not be taken as an indication or guarantee of any future performance analysis, forecast or prediction. The MSCI information is provided on an “as is” basis and the user of this information assumes the entire risk of any use made of this information. MSCI, each of its affiliates and each other person involved in or related to compiling, computing or creating any MSCI information (collectively, the “MSCI Parties”) expressly disclaims all warranties (including, without limitation, any warranties of originality, accuracy, completeness, timeliness, non- infringement, merchantability and fitness for a particular purpose) with respect to this information. Without limiting any of the foregoing, in no event shall any MSCI Party have any liability for any direct, indirect, special, incidental, punitive, consequential (including, without limitation, lost profits) or any other damages. (www.msci.com) Source: HSBC Asset Management, data as at 31 January 2025 HSBC ETFs PLC HSBC EUROPE EX UK SUSTAINABLE EQUITY UCITS ETF Monthly report 31 January 2025 | HSXU LN | EUR (Dist) Important information The material contained herein is for marketing purposes and is for your information only. This document is not contractually binding nor are we required to provide this to you by any legislative provision. It does not constitute legal, tax or investment advice or a recommendation to any reader of this material to buy or sell investments. You must not, therefore, rely on the content of this document when making any investment decisions. This material is not intended for distribution to or use by any person or entity in any jurisdiction or country where such distribution or use would be contrary to law or regulation. This material is not and should not be construed as an offer to sell or the solicitation of an offer to purchase or subscribe to any investment. Any views expressed were held at the time of preparation and are subject to change without notice. While any forecast, projection or target where provided is indicative only and not guaranteed in any way. HSBC Global Asset Management (UK) Limited accepts no liability for any failure to meet such forecast, projection or target. This fund is a sub-fund of HSBC ETFs plc (“the Company”), an investment company with variable capital and segregated liability between sub-funds, incorporated in Ireland as a public limited company, and is authorised by the Central Bank of Ireland. The company is constituted as an umbrella fund, with segregated liability between sub-funds. Shares purchased on the secondary market cannot usually be sold directly back to the Company. Investors must buy and sell shares on the secondary market with the assistance of an intermediary (e.g. a stockbroker) and may incur fees for doing so. In addition, investors may pay more than the current Net Asset Value per share when buying shares and may receive less than the current Net Asset Value per Share when selling them. UK based investors in HSBC ETFs plc are advised that they may not be afforded some of the protections conveyed by the Financial Services and Markets Act (2000), (“the Act”). The Company is recognised in the United Kingdom by the Financial Conduct Authority under section 264 of the Act. The shares in HSBC ETFs plc have not been and will not be offered for sale or sold in the United States of America, its territories or possessions and all areas subject to its jurisdiction, or to United States Persons. Affiliated companies of HSBC Global Asset Management (UK) Limited may make markets in HSBC ETFs plc. All applications are made on the basis of the current HSBC ETFs plc Prospectus, relevant Key Investor Information Document (“KIID”), Supplementary Information Document (SID) and Fund supplement, and most recent annual and semi-annual reports, which can be obtained upon request free of charge from HSBC Global Asset Management (UK) Limited, 8 Canada Square, Canary Wharf, London, E14 5HQ. UK, or from a stockbroker or financial adviser. The indicative intra-day net asset value of the sub-fund[s] is available on at least one major market data vendor terminal such as Bloomberg, as well as on a wide range of websites that display stock market data, including www.reuters.com. Investors and potential investors should read and note the risk warnings in the prospectus, relevant KIID and Fund supplement (where available) and additionally, in the case of retail clients, the information contained in the supporting SID. Further information about the Company including the Prospectus, the most recent annual and semi-annual reports of the Company and the latest share prices, may be obtained free of charge, in English, from the Administrator by emailing ifsinvestorqueries@hsbc.com, or by visiting www.etf.hsbc.com. Details of the underlying investments of the fund are available on www.etf.hsbc.com. The indicative intra-day net asset value of the fund is available on at least one major market data vendor terminal such as Bloomberg, as well as on a wide range of websites that display stock market data, including www.reuters.com. The most recent Prospectus is available in English, German and French. Key Investor Information Document (KID) are available in the local language where they are registered. To help improve our service and in the interests of security we may record and/or monitor your communication with us. HSBC Global Asset Management (UK) Limited provides information to Institutions, Professional Advisers and their clients on the investment products and services of the HSBC Group. Approved for issue in the UK by HSBC Global Asset Management (UK) Limited, who are authorised and regulated by the Financial Conduct Authority. www.assetmanagement.hsbc.co.uk Copyright © HSBC Global Asset Management (UK) Limited 2025. All rights reserved. Further Information can be found in the prospectus and in our Key Investor Information Documents published in our Fund Centre at www.assetmanagement.hsbc.co.uk Term: The management company cannot terminate the Fund unilaterally. The Board of Directors may furthermore decide to liquidate the Fund in certain circumstances set out in the prospectus and articles of incorporation of the Fund.Further additional and complete information (including but not limited to) investor rights, costs and charges, please refer to the prospectus. Detailed information for article 8 and 9 sustainable investment products, as categorised under the Sustainable Finance Disclosure Regulation (SFDR), including; description of the environmental or social characteristics or the sustainable investment objective; methodologies used to assess, measure and monitor the environmental or social characteristics and the impact of the selected sustainable investments and; objectives and benchmark information,can be found at: https://www.assetmanagement.hsbc.co.uk/en/intermediary/investment-expertise/sustainable-investments/sustainable- investment-product-offering Source: HSBC Asset Management, data as at 31 January 2025