Joining from Nomura, Yu Qing is taking on a newly formed role to lead the US asset manager’s onshore business from the mainland.

Joining from Nomura, Yu Qing is taking on a newly formed role to lead the US asset manager’s onshore business from the mainland.
Green AUM in the region forecast to hit $500bn by 2025.
The average daily turnover of Southbound ETFs via Stock Connect reached HK$215.7m in the first month of its launch.
The strategic case for China government bonds has been reinforced despite tough market conditions, according to Fidelity International.
It will initially be available via the four state-owned banks across five cities.
It has become the first international bank to obtain authorisation to do this onshore.
PGIM is advocating selective exposure to emerging market (EM) equities – including China – across growth leaders and fintech firms.
Given the strong US dollar and economic slowdown in developed markets, the outlook for emerging markets (EM) remains tricky, said BNY Mellon Investment Management (BNY Mellon IM).
The internet, property and energy sectors are likely to perform in the second half of this year, said the German asset manager.
The S&P BOCHK China Hong Kong Greater Bay Area Net Zero 2050 Climate Transition Index aligns companies in the area with the 2050 sustainability goals.
Part of the Mark Allen Group.