Investors focused on the stock market, and the challenges Chinese property developers are facing, have often overlooked China’s bonds, which have boasted some of the best returns over the past few years.

Hong Kong-based Head of Asian Fixed Income, Lei Zhu, and Fixed Income Portfolio Manager, Alvin Cheng, from our independently run mutual fund business in China, join Catherine and Marty to discuss why the same economic narrative about China is playing out so differently in equities and bonds, and where investors should start their search for opportunities in this vast market.

With additional contributions from Singapore-based Multi-Asset Portfolio Manager George Efstathopoulos and Shanghai-based Senior Credit Analyst Crystal Cui.

Ways to listen: 

Catherine Yeung

Catherine Yeung

Investment Director

Martin Dropkin

Martin Dropkin

Head of Equities, Asia Pacific

Lei Zhu

Lei Zhu

Head of Asian Fixed Income

Alvin Cheng

Alvin Cheng

Portfolio Manager

George Efstathopoulos

George Efstathopoulos

Portfolio Manager

Crystal Cui

Crystal Cui

Rory Fong

Rory Fong

Producer

Noah Sin

Noah Sin

​Investment Writer