Corporate debt is fairly low and companies, on the whole, are managed sensibly and conservatively, according to analysts.
Low fixed income yields are forcing multi-asset funds to explore different strategies.
Reduced liquidity and the clampdown on tech giants is making investors nervous.
Data from Last Word Research reveal that more than a third of fund selectors in the UK are looking to buy the region in the next 12 months.
Axa Investment Managers has launched a China short duration bond fund, which aims to give investors exposure to the 56trn ($8.54trn)renminbi bond market.