HSBC Global Banking and Markets operations around the world

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HSBC Global Research

  • Currencies
  • Economics
  • Emerging Markets
  • Equities
  • Fixed Income

About HSBC Global Research

Global Research, a division of HSBC Global Banking and Markets, has over 500 staff in 20 countries both developed and emerging. We specialise in four core product areas – currency, economics, equities and fixed income – with a particular emphasis on emerging markets and climate change.

Equities

The aim of our Equity Research platform is to turn our natural competitive advantage in emerging markets into global sector and stock-specific ideas. While we concentrate on full sector and stock coverage in emerging markets, our developed market footprint focuses on those sectors most affected by emerging-market developments and global macro trends. Long-cycle analysis by our Global Research teams leads to sharp and fresh ideas that tie the development of one region to the possible fate of another, and actionable and robust stock-specific recommendations follow. Our research product is produced by four broad specialist groups:

  • Sector analysts in six global industry groups, namely, FIG, healthcare, industrials, natural resources and energy, consumer and retail, and TMT
  • Equity strategists
  • Equity quants and derivatives
  • Small and mid-cap research
Patrick Boucher Chris Georgs Will Manuel David May
Patrick Boucher
Head of Equity
Research, Americas
Chris Georgs
Head of Equity
Research, Asia
Will Manuel
Head of Equity
Research, CEMEA
David May
Head of Equity
Research, EMEA
Equity publications
Equity publications

Industry thematics
Our industry thematic notes take an in-depth, long-term look at a particular industry or sub-segment.

Industry updates
We publish ad hoc and bimonthly reviews of industry conditions and issues.

Company note/updates
Our analysts provide ad hoc commentary on specific companies.

Company initiations
Our analysts always publish an in-depth company analysis when taking up coverage of a stock for the first time.

Flash notes
Our flash notes are frequent, brief updates in support of or changing a view.

Short-term trading strategy
Our short-term trading strategies are ad hoc publications on high-conviction, near-term opportunities.

Equity strategy update
Our quarterly publications comprise global and Asian updates of our market, regional and sector views, together with suggested stock portfolios.

Equity Insights
Every week, we publish thematic insights on global and Asian equity markets.

China Investment Atlas
China Investment Atlas is a detailed, bimonthly review of the prospects for the Chinese markets.

Quant stock selection model
Our quant stock selection model collates our top 10 high-conviction long stock calls in Europe. Published monthly, the product is aimed at long-only portfolio managers and passive fund managers looking for additional alpha.

Index futures
We update weekly our forecasts and analysis of the theoretical value of European index futures prices and their relative attractiveness for index arbitrageurs, hedgers and asset allocators.

Futures fair values
Everyday, we publish real-time and daily updates of index futures, based on movements in underlying prices, dividend forecasts and interest rate expectations.

Bespoke equity research
In certain instances, we can produce specific, targeted, client-driven research on request.

For access requests, please send an e-mail to ecare@hsbcib.com

HSBC Climate Change indices

Developed by Global Research, the index has four sub indices designed to track the stock market performance of key companies poised to gain from the challenges of climate change. Read more

Asian Bond Indices

HSBC's indices and a family of credit rating-specific curves track performance of high quality bonds across Asia, serving as benchmarks for domestic bond markets.

Asian Curve
Asian Local Bond Index (ALBI)
Asian US Dollar Bond Index (ADBI)