Fixed Income

HSBC Global Asset Management offers a comprehensive range of fixed income solutions, managed by specialist teams around the globe. Our objective is to deliver sustainable, value-added performance in selected areas of the fixed income market through a targeted, competitive range of global, regional and single country investment strategies. Our fixed income investment specialists, who have expertise in areas including emerging markets debt, credit (investment grade, high yield, ABS) and selected areas of the developed markets (inflation-linked bonds, euro fixed, etc.), apply a consistent yet robust investment process supported by our strong global research platform.

We offer an active fundamental approach on emerging and credit markets where inconsistencies between risk premiums and fundamentals are exploited using a bottom-up credit research and a top-down macro analysis methodology. This approach is combined with quantitative techniques on generally more liquid and efficient segments (e.g. developed countries’ government bonds and currencies).

We cover a wide range of fixed income markets and disciplines and are an acknowledged leader in emerging market debt, with a track record which goes back to 1989.