Profile
Mr. Noel Hebert is Vice President at HSBC Global Asset Management (USA), Inc.
Prior to this, he worked for Halbis Capital Management which is rebranded as HSBC Global Asset Management.
He joined Halbis Capital Management from Velo capital where he was Assistant Portfolio Manager.
He formerly served as a telecoms, media and technology analyst for credit rating agency Moody’s Investor Service.
Mr. Hebert is a CFA charterholder.
Former positions of Noel Hebert
| Companies | Position | End |
|---|---|---|
Halbis Capital Management (USA), Inc.
Halbis Capital Management (USA), Inc. Investment ManagersFinance Halbis specializes in areas where they can be highly competitive, namely in European equities, value-added fixed-income, Asian and emerging markets equities and some alternative strategies. The regional capabilities of the New York office include US Core Fixed-Income, US High Yield, Emerging Markets Debt, Global Fixed-Income, Distressed Opportunities and Alternative Investments | Analyst-Fixed Income | 31/12/2010 |
HSBC Global Asset Management (USA), Inc.
HSBC Global Asset Management (USA), Inc. Investment ManagersFinance AMUS actively manages portfolios within client investment guidelines using discretion to meet client objectives. The firm utilizes qualitative and quantitative research and inputs in their investment strategies. Their portfolio construction process is a combination of top-down decisions at a portfolio level and bottom-up decisions taken in the regional portfolio by the local specialist credit managers. Active risk management is fully integrated into the firm’s investment process. | Analyst-Fixed Income | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
HSBC Global Asset Management (USA), Inc.
HSBC Global Asset Management (USA), Inc. Investment ManagersFinance AMUS actively manages portfolios within client investment guidelines using discretion to meet client objectives. The firm utilizes qualitative and quantitative research and inputs in their investment strategies. Their portfolio construction process is a combination of top-down decisions at a portfolio level and bottom-up decisions taken in the regional portfolio by the local specialist credit managers. Active risk management is fully integrated into the firm’s investment process. | Finance |
Halbis Capital Management (USA), Inc.
Halbis Capital Management (USA), Inc. Investment ManagersFinance Halbis specializes in areas where they can be highly competitive, namely in European equities, value-added fixed-income, Asian and emerging markets equities and some alternative strategies. The regional capabilities of the New York office include US Core Fixed-Income, US High Yield, Emerging Markets Debt, Global Fixed-Income, Distressed Opportunities and Alternative Investments | Finance |
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