Our investment capabilities span all the main asset classes – equities, fixed income, multi-asset and liquidity. All our investment teams share a common philosophy. Our core investment belief is that good governance – clear investment beliefs and well-executed process – is the key to delivering long-term value to our customers. We believe there is a strong link between governance and performance in that good governance should strengthen performance.
We believe that HSBC Global Asset Management is well placed to provide a globally-consistent, disciplined, investment process across our major capabilities, which draws on the local knowledge and expertise of our team of over 600 investment professionals in 30 locations around the world. We fully connect all our local investment teams to the global investment platform for each of our major capabilities.
With specialists committed to best-in-class service delivery, HSBC Global Asset Management aims to provide clients with complete and balanced cash management solutions for optimal security within strict risk control parameters. We also have the ability to provide Short Duration Fixed Income, on a segregated basis, as a potential solution to longer term cash investment needs.
As a leading provider of customised liquidity solutions to a diverse customer base, we have developed a range of products, including AAA rated* liquidity funds in US dollars, euros, Canadian dollars and sterling. Find out more about HSBC liquidity services.
*HSBC Liquidity Funds are AAA rated by two credit rating agencies: S&P (AAAm) and Moody's (Aaa-mf) as at June 2016. Past performance is not a reliable indication of future returns.
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. HSBC Global Asset Management has a strong global research platform that supports the consistently process applied by our fixed income investment specialists who have particular expertise in emerging markets debt, credit (investment grade, high yield, ABS) and selected areas of the developed markets (inflation-linked bonds, euro fixed, etc.)
HSBC Global Asset Management offers a wide range of equity strategies which aim to produce consistent risk-adjusted performance within strong governance and risk managed framework. Our investment specialists follow an actively managed investment philosophy that focuses on high quality fundamental research, and invest in markets and sectors in which we can best add value for our clients.
HSBC Global Asset Management offers multi-asset solutions designed to establish the core of an investment portfolio, and providing a well diversified strategy by investing in equities and fixed income in developed and emerging equity markets.
Our dynamic, forward-looking allocation approach focuses on identifying opportunities to customise solutions in accordance with our clients’ requirements, investment constraints and risk appetite.