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Investment Philosophy

Our philosophy is based on a conservative approach to security, liquidity and servicing balanced against yield objectives. Our money market funds are indicative of this prudent strategy, where our primary

Our money market funds are indicative of this prudent strategy, where our primary responsibility to investors is to preserve capital and provide liquidity

responsibility to investors is to preserve capital and provide liquidity.

We believe the advantages of partnering with HSBC Global Asset Management for the management of a Liquidity/Cash portfolio are:

  • A prudent low-risk cash management approach
  • Detailed, considered set of investment policies covering all aspects of risk
  • A structured and methodical globally consistent investment process designed to deliver its objectives
  • Distinctive credit approval and limit setting process
  • Strategic importance of liquidity as an asset class allows HSBC to invest in high quality and the right level of dedicated resources
  • Investment and credit teams located in 13 locations globally, benefiting clients with their local market knowledge
  • Dedicated client service teams in all regions to provide timely support to clients
  • A full range of Liquidity investment strategies in multiple currencies

The value of investments and any income from them can go down as well as up and investors may not get back the amount originally invested.

Risk Management

Literature


Literature

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News and Insights


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Global Investment Strategy team


News and Insights