Summary
Justin Zhang is a seasoned equity portfolio manager with 13 years of experience specializing in Greater China and global equity strategies across Hong Kong, A-share, US ADR and US markets. At China Asset Management he manages mutual funds and SMAs with a bottom-up growth focus, concentrating on TMT, consumer, healthcare and renewable energy names. His background spans hands-on equity research in internet, e-commerce, software, media and fintech, giving him deep sector expertise in small- and mid-cap ideas. Trained in chemical engineering at Tsinghua and holding an MA in Mathematics of Finance from Columbia, he blends rigorous quantitative skills with fundamental stock-picking. Known for navigating cross-listed opportunities and shifting market regimes, he couples academic rigor with practical portfolio construction.
13 years of coding experience
High School Diploma, High School Diploma at The Experimental High School Attached to Beijing Normal University
Master of Arts (MA), Mathematics of Finance, 3.8, Master of Arts (MA), Mathematics of Finance, 3.8 at Columbia University Graduate School of Arts and Sciences
Bachelor of Engineering (BEng), Chemical Engineering, 3.6, Bachelor of Engineering (BEng), Chemical Engineering, 3.6 at Tsinghua University
Chinese, English