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ESG and RI strategies

At HSBC Asset Management, we believe the future needs to be self-sustaining for positive change. Besides taking into account climate risks in managing clients’ portfolios, we are committed to opening up a world of sustainable investment opportunities for our clients through the development of innovative products.

Being an early mover in the sustainable investing market, our track record in ESG dates back to the launch of our first Socially Responsible Fund back in 2001. From 2010, ESG considerations have been systematically integrated into our Equity, Fixed Income and Multi-Asset capabilities, and is progressively applied in Liquidity & Alternatives. With our proprietary ESG database now covering more than 20,000 financial instruments, we are one of the ‘firms who are among the industry’s strongest ESG proponents’ – as recently recognised by the Morningstar award of ‘ESG Advanced’.

Our dedicated Responsible Investment team leads the development of new ESG, climate change and thematic products and solutions, and the delivery of thematic research contributing to industry best practices and thought leadership. They oversee the integration of ESG risks and opportunities across asset classes, as well as the firm’s voting policy and engagement.

  • SI methodology

    Learn more about how we assess whether an instrument or issuer is sustainable under our proprietary investment framework.
  • Sustainable funds

    View the full list of sustainable funds that aim to help investors mitigate risks and capture arising opportunities in the transtitioning world.
  • Policies and disclosures

    Find out how our principles of responsible investment have been incorporated into our investment and stewardship approaches.

Risk Warning
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. Where overseas investments are held the rate of currency exchange may also cause the value of such investments to fluctuate.