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By Leigh Powell | 10 January 2012
Diversification has become key amid risk-on, risk-off correlation in 2011, but Philip Poole and Bill Maldonado of HSBC Global Asset Management outline reasons for optimism.
By Jame DiBiasio | 16 September 2011
HSBC Global Asset Management's recently appointed head of macro and investment strategy, Philip Poole, is preparing a house view for the firm's various investments arms.
By Leigh Powell | 11 January 2011
Tension between the need to find yield and the fear of major risks means 2011 will be volatile, but dips are a time to buy, says global macro and investment head Philip Poole.
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May 2012 Magazine
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What's in this issue

Family offices come of age
Consumer-bank distributors speak
Hedge funds: the next generation