Asia
Our Asia focused solution is designed for investors with targeted risk tolerances.
Our multi-asset investment teams work around the world to take advantage of opportunities the financial markets have to offer across Asian equity and bond markets.
Why this strategy?
Globally diversified (with a tilt in Asia), dynamic asset allocation, risk focused in a single strategy.
Diversification
- Offers diversification across different asset classes in Asia
- Exposure to equities, government bonds, corporate bonds and local debts in the convenience of a single holding
Dynamic asset allocation
- An actively managed asset allocation, not a ‘set and forget’ strategy
- Tactical asset allocation to exploit shorter-term market opportunities
Our process
- Our investment process is globally consistent, systematic and repeatable, combining quantitative and qualitative inputs in a considered way
- Throughout our process, we maintain a focus on risk control and management, applying three independent levels of risk management and oversight across all of our investments
HSBC strengths
- 60+ investment professionals working in multi-asset across five key locations: London, Paris, Düsseldorf, Hong Kong and Vancouver
- 20+ years of experience managing multi-asset strategies for institutional and retail investors