HSBC Global Asset Management's dedicated Alternatives' platform has the primary objective of providing client portfolios with long-term competitive risk-adjusted returns.

A disciplined risk management process is key to our alternatives business. We take a focused approach, managing a relatively limited number of non-directional alpha strategies, as well as exotic beta strategies across equity, fixed income and real return asset classes. Independent, empowered portfolio teams are located globally and enjoy a critical local information advantage. Our goal is to deliver consistent value, as well as portfolio transparency to our clients. To learn more about HSBC's Alternatives capabilities, please contact us.