Summary
Jason Guo is a seasoned asset allocator and investment executive with 12 years of experience managing multi-billion dollar portfolios across public equity, credit, hedge funds, private equity, growth equity, and venture capital from Hong Kong. As CEO and CIO of a single-family office he combines institutional-grade governance, risk management, and manager selection with hands-on sourcing and diligence of top-tier global managers. Previously a founding portfolio manager at China Guangfa Bank's wealth arm, he ran billion-dollar multi-strategy mandates spanning A/H shares, US equities, and global bonds. He holds a PhD in Political Economy from NYU and an MA from Duke, a background that informs his macro-driven, research-led approach to asset allocation. Known for building high-performing teams and aligning long-term strategic investment plans with mission-driven stewardship, he brings a rare blend of academic rigor and real-world portfolio execution.
12 years of coding experience
2 years of employment as a software developer
Master of Arts (M.A.), Political Economy, Master of Arts (M.A.), Political Economy at Duke University
Doctor of Philosophy - PhD, Political Economy, Doctor of Philosophy - PhD, Political Economy at New York University
Bachelor, Economics, Bachelor, Economics at Zhejiang University
English