HSBC Global Asset Management

By January 30, 2019 No Comments

At HSBC Global Asset Management, our purpose is to connect our clients to global investment opportunities, using our international expertise in equities, fixed income, multi-asset, liquidity and alternatives. We manage assets of more than USD461.5 billion (at 30 September 2017) through active, passive, factor and smart beta strategies. Our approach is founded on robust risk management, and a disciplined investment process, implemented with judgement and skill to deliver sustainable performance. We integrate material ESG (Environmental, Social and Governance) issues into our investment process as part of this approach, recognising that they can impact long-term investment returns. Combining our global experience with deep local insights and support, we are in a uniquely strong position to make fully-informed decisions that help our clients meet their investment goals over the long term, capturing more opportunities at home and abroad.



A shifting equation in China’s balance of payments
Allocating to Asia
Belt, road and beyond – understanding the BRI opportunity
China insights
China market access primer
China unleashed
Elevating the game – Asian consumers trade up
Inclusion of onshore China bond in Bloomberg Barclays global aggregate index
The data challenge – fixed income research

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