Kevin is a Portfolio Manager for the Responsible China A-shares strategy and is based in LGM’s Hong Kong office. He has over twelve years of industry experience, joining the team in 2016 to support the Greater China research efforts then becoming portfolio manager on the launch of the Responsible China A-shares strategy. Before joining LGM, Kevin was a research analyst at Jefferies for five years, covering Greater China consumer companies and prior to that, at Credit Suisse.
Kevin holds a B.Sc. in Applied Mathematics from National University of Singapore and is a CFA Charterholder.