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Raymond Gui


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Raymond Gui

Senior Portfolio Manager

Income Partners Asset Management

Raymond Gui is Income Partners’ lead portfolio manager for Renminbi (RMB) denominated investment funds, and is a key member of the firm’s Investment Committee. He is also an active contributor to Asian credit and global macro views.

Raymond brought over 7 years of global fixed income experience when he joined Income Partners in 2010, including extensive exposure with Chinese regulators and various Chinese Institutions.His earlier career highlights why he is a key member of our investment team with senior roles in the Reserve Management Department of the State Administration of Foreign Exchange (SAFE) in Beijing, the Fixed Income Department of Bank of China International in Hong Kong, and the Financial Market department of China Construction Bank, where he was responsible for managing the bank’s fixed income portfolio.

Since joining Income Partners, Raymond has been instrumental in the firm’s early-entry initiatives in the offshore RMB fixed income market.

A dedicated investment specialist covering the Chinese fixed income markets and a true follower of Income Partners’ philosophies of aligning internal and external interests, he has demonstrated his talent and knowledge by launching a first-to-market pure Investment grade RMB product followed by a high yield RMB product, and proactively set-up a ‘reverse enquiry model’ in order to help expand the offshore China primary bond issuers market.

Raymond holds an MBA from the Chinese University of Hong Kong and has been a CFA charter-holder since 2005. He joined the International MBA Exchange Program (2005) at the Graduate School of Business, University of Chicago, and also holds a Masters and Bachelor degree in Finance from China’s top ‘Ivy League’ school, the Tsinghua University.

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桂林

高級投資組合經理

桂林先生是豐收投資人民幣債券基金的首席投資組合經理,並為投資委員會的重要成員之一。此外,他亦積極為亞洲信貸及全球宏觀經濟觀點作出貢獻。

桂先生加盟豐收投資時已擁有超過十年環球固定收益投資經驗,他曾擔任職的機構包括北京國家外匯管理局儲備管理部、香港中銀國際固定收益部,以及中國建設銀行金融市場部,參與管理固定收益投資組合或資產配置的工作。

自加盟豐收投資以來,桂先生在公司進軍離岸人民幣固定收益市場的過程中擔任舉足輕重的角色。作為專責中國固定收益市場的投資專家,桂先生繼推出中國境外人民幣產品後,逐步推出中國境內人民幣債券基金, 並開始籌畫下一階段的其他種類的基金。

桂林先生持有北京清華大學頒授的財務碩士及學士學位以及香港中文大學頒授工商管理碩士學位,並自2005年以來持有特許財務分析師資格。

 

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