Partnering locally to grow globally

Navigating China's markets with confidence

Our team

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Our insights

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Our funds

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An opportunity not to be missed

Mackenzie’s close partnership with ChinaAMC provides a unique advantage, as we leverage established local expertise in one of the world’s most dynamic markets. With a focus on domestic growth, China is still under-weighted by many investors.

 
2nd

Second largest economy in the world.1

 
2nd

Second largest equity and bond markets.2

 
400 million

Largest middle-class in the world.3

 
0.3%

Average Canadian investors’ portfolio allocation to Chinese equities.4

 
< 0.4

Correlation to developed markets for both equities and bonds.5

 
> 3%

Chinese government bonds offer the highest yield among A+ rated issuers.6

Philosophy and process

ChinaAMC was established in April 1998 as one of the first country-wide fund management companies in China. It has grown to be a leading Chinese asset manager, with about CA$337 billion in assets under management as of June 30, 2023. Headquartered in Beijing, with a subsidiary in Hong Kong, the firm invests in the public equity and fixed-income markets with over 250 investment professionals providing comprehensive research coverage. The investment team focuses on long-term themes such as consumption upgrade, advanced manufacturing, technology and carbon neutrality that they believe will continue to shape the Chinese economy for the next five to 10 years.

Mackenzie ChinaAMC All China Equity Fund

Equity exposure to Chinese markets, both onshore and offshore, to capture future opportunities in China’s new economy.

Mackenzie ChinaAMC All China Bond Fund

China’s government and corporate fixed income markets may provide higher yields and low correlation compared to developed markets.

Mackenzie ChinaAMC Multi-Asset Fund

Single-ticket solution that seeks to capitalize on the opportunities in Chinese equities, while benefiting from the counterbalance that a maturing Chinese bond market provides.

Our team

Richard Pan

Managing Director, Portfolio Manager, Head of Global Capital Investment, Head of International Business
China Asset Management Co., Ltd.

Investment experience since 1998

Mr. Pan has 21 years of investment experience. Before joining China AMC in 2013, Mr. Pan served as CIO and Deputy CEO of Vstone Capital, overseeing its A-share investments. He worked as a Director/Portfolio Manager at Manulife Asset Management from 2007 to 2011, managing its Greater China funds and QFII A-share fund. He also worked as a Portfolio Manager at United Securities from 2001 to 2004, and worked as a VP at Guotai Junan Securities since 1998. Mr. Pan holds an MBA from Georgetown University in the U.S., MA in Economics and BS in Engineering from Wuhan University.

Francis (Yili) Hu

Portfolio Manager
China Asset Management Co., Ltd.

Mr. Hu has over 10 years of research and investment experience. Before joining ChinaAMC in 2023, he worked as a portfolio manager at Norges Bank Investment Management from 2016-2023. Prior to that, Francis worked as an analyst covering the basic materials sector at Fidelity Worldwide investment from 2013-2016. Francis holds a Master of Economics and a Bachelor of Economics from Fudan University. 

Yi Fan

Managing Director, Portfolio Manager, Head of Institutional Fixed Income Investment Department
China AMC

Investment experience since 2005

Yi is the Head of Institutional Fixed Income Investment as well as a member of ChinaAMC Fixed Income Investment Committee.

He joined ChinaAMC in 2005 and has 19 years of investment experience. Prior to his current role, he served as the administrative head of the REITs department.

Yao Du, CFA

Portfolio Manager, SVP of Institutional Fixed Income Investment Department
China AMC

Investment experience since 2016

Yao has eight years of research and investment experience. She specializes in the offshore China credit market. Before joining ChinaAMC in 2016, she worked as an assistant investment manager at China Life Insurance Asset Management Co., Ltd.

Yao received her Master's degree from China Renmin University and is a CFA charterholder.

Xi Ke, CFA

Assistant Portfolio Manager, VP of Institutional Fixed Income Investment Department
China AMC

Investment experience since 2018

Xi specializes in FX research and offshore China credit market. He joined ChinaAMC in 2018 and has six years of research and investment experience. Prior to his current role, he worked as a credit analyst in the Institutional Fixed Income Department.

Xi holds a Bachelor of Economics and Master of Financial Engineering and Finance from Tsinghua University and is a CFA charterholder.

Expert insights and resources

An on-the-ground view of China

Insight

An on-the-ground view of China

On-the-ground perspective of China, how its equity and bond markets have evolved, and what are the long-term drivers of growth for this dynamic economy.

Podcast discussing current investment opportunities and challenges in China

Insight

Investing in China in the era of Common Prosperity

Mackenzie’s CEO, Luke Gould and China expert, Ying Du, discuss China’s Common Prosperity strategy and potential benefits for the economic growth.

Podcast discussing current investment opportunities and challenges in China

Podcast

China: Unpacking the risk/return potential

ChinaAMC Portfolio Manager Richard Pan discusses his investment philosophy, and opportunities and challenges in China’s markets.

1 Source: IMF, April 2021

2 Source: Bloomberg, March 2020

3 Source: China Briefing, China’s Middle Class in 5 Simple Questions,  https://www.china-briefing.com/news/chinas-middle-class-5-questions-answered/

4 Source: IFIC as of March 31, 2021

5 Source: Morningstar Direct as of May, 31 2021 (equities); MSCI and Bloomberg, as of 31 December 2020 (bonds)

6 Source: Bloomberg, as of June 30, 2021

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