This report shows public data only. Is this your organisation? If so, login here to view your full report.

HSBC Global Asset Management

PRI reporting framework 2017

You are in Strategy and Governance » Implementation not in other modules

Implementation not in other modules

SG 12. ESG issues in strategic asset allocation (Not Completed)

SG 13. Long term investment risks and opportunity (Not Completed)

SG 14. Allocation of assets to environmental and social themed areas

New selection options have been added to this indicator. Please review your prefilled responses carefully.

14.1. Indicate if your organisation allocates assets to, or manages, funds based on specific environmental and social themed areas.

14.2. Specify which thematic area(s) you invest in, indicate the percentage of your AUM in the particular asset class and provide a brief description.


          SRI Sustainable Responsible Investment
Climate Change
% of AUM

Brief description and measures of investment

We currently have 3 French-domiciled core SRI portfolios managed according to a best-in-class methodology. These strategies respectively track the MSCI EMU (for the Euro Equity strategy), the MSCI World (for the Global Equity Strategy) and the Barclays Capital Euro Aggregate 500MM (for the Fixed Income strategy).

We also manage since 2007 a thematic climate change global equity fund domiciled in Luxembourg. We are working on broadening our specialised fund range based on key investment risks and opportunities we have identified relating to a needed transition to low-carbon economies globally.

ESG and low-carbon investment strategies are one of our 3 overall strategic opportunities.

14.3. Additional Information [Optional]


SG 15. ESG issues for internally managed assets not reported in framework (Not Applicable)

SG 16. ESG issues for externally managed assets not reported in framework (Not Applicable)