News and insights
Discover our latest news, views and analyses
Water risk and opportunity
22 March 2022
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Responsible Investment Insights
Voluntary carbon markets: the need for scrutiny19 May 2022, 3 minutesTags: ESG -
Responsible Investment Insights
Improving the quality of ESG disclosure19 May 2022, 3 minutesTags: ESG -
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Asia Focused Income Strategy: a diversified investment approach amidst rising volatility
Listen to this podcast to learn how a diversified investment approach can help investors navigate the markets amidst rising volatility12 May 2022, 3 minsTags: China/Asia -
Asian High Dividend Strategy: Looking for resilient income amid rising rates
Why Asian high dividend equities stand out in 2022 and what opportunities this asset class can offer11 May 2022, 3 minutesTags: Asian equity -
Fed ups the pace of tightening
At the May meeting, the Federal Reserve (Fed) raised the federal funds target range by 50bp to 0.75-1.00 per cent05 May 2022, 5 minutesTags: Macro commentary -
Investment House Views
This publication captures the outcomes of our quarterly Global Strategic Forum25 April 2022, 30 minutesTags: Markets -
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Fixed Income Insight
This publication captures the outcomes of our Global Fixed Income Strategic Forum that convened in March for two days of analysis and debate.08 April 2022, 20 minutesTags: Fixed Income Insight -
Investors’ expectations of Ethical AI in Human Capital Management
AI and fairness in the workplace: why it matters and why now07 April 2022, 60 minutes -
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Press Release
HSBC Asset Management bolsters sustainability and responsible investing teams with two new hires24 March 2022, 5 minutesTags: Sustainable investing -
Insights on short duration bonds: resilience in uncertainty
Short duration bonds are recognized for their resilience and their capacity to reduce the impacts of bond market volatility. We are pleased to share this article highlighting the benefits of short duration fixed income24 March 2022, 5 minutesTags: Fixed Income -
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Fed hiking cycle underway
At the March meeting, the Fed raised the federal funds target range by 25bp to 0.25-0.50 per cent17 March 2022, 5 minutesTags: Macro commentary -
Europe Insights - February 2022
EU recovery funds to combat climate change04 March 2022Tags: Europe -
Macro Insight: Geopolitics and investment markets
Historically, most geopolitical events have short-lived effects on markets. Risk stems from the damage to the economic scenario, and policy response.02 March 2022, 7 minutesTags: Macro commentary -
Investment Monthly - March 2022
The current geopolitical situation signals a defensive asset allocation is appropriate. A defensive allocation today means a selective approach.01 March 2022, 10 minutesTags: Macro commentary -
Investment Event: Markets move on geopolitical risk
Inflation is likely to be higher-for longer. On balance, policy makers are likely to try and look through the more extended period of high inflation.25 February 2022, 4 minutesTags: Macro commentary -
Geopolitical risks escalate
The developments in Russia/Ukraine have made geopolitical risk a live event for investment markets23 February 2022, 5 minutesTags: Macro commentary