Webinars
Past webinars – Watch now on demand
Asian fixed income
Investing in Asia’s recovery with fixed income
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Cecilia Chan |
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Ming Leap |
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Catherine Tsang |
With the “lower-for-longer” scenario persisting amidst the COVID-19 pandemic and the difficult economic environment, Asian bonds continue to offer a yield advantage versus other comparative markets. In this webinar, Cecilia Chan, Ming Leap, and Catherine Tsang will discuss how they have been navigating 2020’s uncertainties and their views on where the attractive opportunities lie in Asian bonds’ hard currency and local currency markets.
23 September 2020China
China – beyond the headlines
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Bill Maldonado |
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Renee Chen |
In this webcast, our specialists, Bill Maldonado and Renee Chen, take a closer look at topics that are dominating the headlines – China's ongoing recovery after the global pandemic, outlook for the economy amidst escalating US-China tensions and China's economic strategy of "dual circulation" as it seeks to cope with increased external risks.
9 September 2020
Asian fixed income
Asia credit - Navigating the winds of change
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Elizabeth Allen |
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Alfred Mui |
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Geoffrey Lunt |
In the midst of uncertainties in 2020, Asia credit has so far fared relatively well and is even expected to see a relatively lower default rate this year versus other major regions. Elizabeth Allen, Alfred Mui and Geoffrey Lunt discuss how Asia credit as an asset class has been navigating the volatility in 2020.
- What has contributed to Asia credit’s resilience in 2020?
- After a turbulent first half, what is the outlook for Asia credit for the rest of the year?
- How has credit research in Asia bonds changed in a post-covid world? Has this changed the opportunity set?
The new generation of Sustainable ETFs
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Olga de Tapia |
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Xavier Desmadryl |
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Thomas O’Malley |
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Fong Yee Chan |
Join us to learn more about how, as the World’s Best Bank for Sustainable Finance1, we have collaborated with FTSE Russell to develop indices with an innovative 3-tilt approach, which goes beyond the typical market offering.
1 July 2020
1Euromoney 2019 “World’s Best Bank for Sustainable Finance”
Asian fixed income
China fixed income - Leading in a post COVID world
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Ming Leap |
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Catherine Tsang |
With China being one of the first countries to begin recovery from the COVID-19 pandemic, the onshore China bond market is already seeing strong demand from foreign investors and in May recorded the largest monthly net inflows in a year. In this webinar, Ming Leap and Catherine Tsang discuss investing in China fixed income in a post COVID world.
- What are the post-pandemic market drivers to watch out for and how is the macro landscape benefiting RMB bonds?
- Can we expect to see more China onshore bond inclusion from global index providers?
- What is the assessment of the credit profile and default landscape of RMB bonds?
HSBC GIF Multi-Asset Style Factors
Quarterly strategy update
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Mathieu Guillemet |
In this webinar, Mathieu Guillemet gives an insight into the performance attribution since end-March, comment on the current portfolio positioning and answer questions.
25 June 2020
Sustainability
The role of green bonds
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Stephanie Maier |
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Michael Ridley |
Stephanie Maier, Director, Responsible Investment and Michael Ridley, Senior Responsible Investment Specialist share their views on how green bonds can play a role in mobilising green finance and delivering impact towards a lower carbon world.
23 June 2020
HSBC Mid-Year Outlook 2020: Global Liquidity
Another opportunity to learn
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Jonathan Curry |
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Joe Little |
After the “great lockdown” and the “sudden stop” in 2020 so far, what comes next? The COVID-19 crisis provides another opportunity to learn. Joe Little and Jonathan Curry share their thoughts on the global economy and key considerations for money market investors.
12 June 2020
HSBC Mid-Year Outlook 2020: Global Fixed Income
Bonds markets on bifurcating roads
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Xavier Baraton |
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Joe Little |
We view the COVID-19 pandemic both as an accelerator of pre-existing patterns and as a credit shock, causing bond markets to bifurcate:
- Low inflation and low for longer yields for quality assets,
- Secular deleveraging striking back crossing the need for balance sheet repair
- Selective central bank support and variable budget stimuli causing dispersion between countries and issuers
11 June 2020
HSBC Mid-Year Outlook 2020: Global Equities
Pandemic, panic, pick-up…what’s next?
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Bill Maldonado |
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Joe Little |
In this webinar, Bill Maldonado, Global CIO, Equities and Joseph Little, Global Chief Strategist, discuss these themes and provide an outlook for equity markets in the second half of 2020.
10 June 2020
HSBC Mid-Year Outlook 2020: Global Multi-Asset
The post lockdown world
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Jean-Charles Bertrand |
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Joe Little |
In this Multi-Asset webinar Jean-Charles Bertrand and Joe Little analyse the economic and market impact from the “sudden stop”, look at China as the lead indicator on the road to recovery scenarios, and discuss opportunities the post-lockdown environment may present to multi-asset investors for the remainder of 2020.
9 June 2020
HSBC Global Total Return Update
Exploiting recent market dislocations with dynamic fixed income investing
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Oliver Boulind |
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Paul Mitchell |
Oliver Boulind and Paul Mitchell share their views on how investing in unconstrained fixed income, can provide the flexibility to capitalise on opportunities whilst maintaining a strong defence in the face of changing market conditions.
28 May 2020
Asia
Adapting to changing environments
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Bill Maldonado |
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Sanjiv Duggal |
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Geoffrey Lunt |
In this webinar, Bill Maldonado, Sanjiv Duggal and Geoffrey Lunt discuss the current investment landscape for Asian equities and Asia credit, particularly as we begin to assess the market drivers beyond COVID-19.
26 May 2020
Fixed Income
Bond markets on bifurcating roads
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Xavier Baraton |
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Joe Little |
As some countries embark on the road to reopening economies, Xavier Baraton and Joe Little discuss how the current dilemmas impact the macro outlook and fixed income investing.
19 May 2020
Credit Research
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Tina Radovic |
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Elizabeth Allen |
The pandemic has caused more than short-term damage to corporates’ P&L and balance sheets. Can we still find value in the fixed income market? Our credit research team explain what to avoid and where the silver lining is, including a specific focus on Asia.
14 May 2020
HSBC Alternatives
An Alternatives Roundup
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Joe Little |
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Xavier Baraton |
Joe Little and Xavier Baraton discuss the latest macro picture, provide a round-up on what’s been happening in the world of Alternatives, how the various asset classes have fared in the recent market dislocation, and share their views on the opportunities the current conditions may present.
07 May 2020
HSBC Multi Asset
Can the defensive rally continue?
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Jean-Charles Bertrand |
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Joe Little |
The most recent economic data looks bleak, and the fastest crash of all time has given way to the fastest rebound. How do we rationalise these conflicting themes?
07 May 2020
Securitised Credit
Market dislocation and emerging income opportunities
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Michel Meert |
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Andrew Jackson |
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Paul Mitchell |
On this webinar, our specialists Andrew Jackson and Paul Mitchell share their views on the near to longer term outlook for securitised credit.
23 April 2020
Asia
China - Back to business?
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Bill Maldonado |
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Renee Chen |
On this webcast our specialists Bill Maldonado, CIO - Asia-Pacific and Renee Chen, Senior Economist and Investment Strategist, share their views on the near to long term outlook for China and investment opportunities on the horizon.
14 April 2020
HSBC Liquidity
Global liquidity update and how we are managing clients’ liquidity portfolios
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Olivier Gayno |
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Joe Little |
Policy makers are increasingly stepping up to provide monetary, fiscal and liquidity support in the aftermath of the economic “sudden stop” caused by the Covid-19 crisis. Joe Little and Olivier Gayno share their views on how these are likely to impact the global economy and liquidity markets.
6 April 2020
HSBC Fixed Income
Adapting Fixed Income portfolios in a more volatile environment
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Xavier Baraton |
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Joe Little |
Given the "sudden stop" across the world’s major economies in order to contain the spread of Covid-19, a global recession has become the most likely outcome. How should investors look at their fixed income portfolios under this current environment? On this webcast, Xavier Baraton and Joe Little share their views and answer your questions.
31 March 2020
HSBC Multi Asset
An economic “sudden stop”, and how we are managing Multi Asset portfolios
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Jean-Charles Bertrand |
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Joe Little |
Within the bear market we have now entered, risk assets have clearly become more attractive than they were at the start of the year, when risk premiums were relatively compressed. Nonetheless, it is important to understand the nature of the bear market we are in.
On this webcast, Jean-Charles Bertrand and Joe Little share their views and answer your questions.
24 March 2020
Asia
Assessing the impact of containment – Views from Asia
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Bill Maldonado |
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Renee Chen |
On this webcast our specialists Bill Maldonado, CIO - Asia-Pacific and Renee Chen, Senior Economist and Investment Strategist, discuss how we are navigating the markets under these rapidly evolving circumstances.
17 March 2020