Liquidity

Active balance sheet management is critical to the success of businesses worldwide. HSBC Global Asset Management has over 20 years of experience advising, executing and managing liquidity strategies. We employ dedicated liquidity portfolio management investment professionals who focus on active risk management, utilising the extensive credit research expertise of over 30 analysts who are responsible for covering both Liquidity and Fixed Income. The team members are located in strategic centres globally, with credit analysts reporting to regional or sector heads of credit.

We work with a wide range of clients to deliver appropriate investment solutions for their cash reserves, from designing investment policies that match their risk/reward expectations to devising strategies for their short-term cash flow.

With our extensive global reach, HSBC Global Asset Management is able to offer Liquidity products in a range of 11 currencies, applying our consistent investment process to emerging currencies where clients may not be familiar with the local market place.

To find out more about our global range of money market funds visit our dedicated Global Liquidity Website - www.globalliquidity.hsbc.com.


Contact us

For more information, please contact your regional HSBC Liquidity Sales Head:

  • Americas – Gary Gordon
    1 212 525 2316
  • EMEA – Richard Bottomley
    44 20 7991 8364
  • Asia – Simon A Bourke
    852 2284 1622