China’s economy is leading the world in the recovery from the pandemic – and the opening up of onshore markets is unlocking huge potential for international investors. Draw on a century of local experience and extensive on-the-ground resources to capitalise on the opportunities for both equity and fixed income investors in this vast and complex market.
- How to navigate the three challenges in China?
- How should investors view the recent Chinese equity sell-off?
- China’s early start on the road to recovery
- Themes for China A-share investors
- What are the implications of rising corporate bond defaults in China?
- China’s path to becoming a higher income country
Dynamic equity and fixed income markets
The global health crisis has accelerated long-term trends in China, driving growth in sectors such as technology and healthcare. Meanwhile, the rapidly expanding bond market is attracting a significant proportion of global fixed income flows.
A century of China expertise
Our China equity and fixed income funds are built on our 100-year history in the market and the strength of our local research footprint. Highly experienced teams in Hong Kong, Shanghai and Taiwan cut through the noise with first-hand insight into the market’s companies, sectors and trends.