Yingying Dong, CFA*

Portfolio Manager

Yingying is a Portfolio Manager for the Responsible China A-shares strategy and is based in LGM’s Hong Kong office. Yingying joined the team in 2015 as an analyst focused primarily on Greater China. She has over ten years of industry experience, previously working as an associate with Deutsche Bank for two years, covering the utilities and energy sectors. She also spent two years at UOB Kay Hian, researching energy sector stocks and prior to that she was an analyst at Morgan Stanley for the Institutional Securities Group.

Yingying holds a Bachelor’s degree in Economics from Fudan University in Shanghai and is a CFA Charterholder.

Related Articles

No posts matching your criteria

The ESG implications of COVID-19: Annual General Meetings (AGMs)

Discover how COVID-19 has pushed AGMs around the world into an online format.

The ESG implications of COVID-19: Executive Pay

Explore the executive pay implications of COVID-19 at top UK companies

Is the market due for a fall?

Macro Update 19 October 2020

BMO SDG Engagement Global Equity Strategy Impact Report 2020

In this report, we carry out a deep dive into our engagement activities, showing the alignment to the SDGs and their targets.

September 2020

The Fed’s new framework and its evolving reaction function

For investors, the implications are likely to be a more durable long-run “risk on” environment, a flatter yield curve and a depreciating dollar.

September 2020

Back to the future of fixed income

Enough bizarre outcomes have materialized in 2020, that many people just respond, “It’s 2020!?”

Will the vaccine save Christmas?

Macro Update 28 September 2020

ESG Viewpoint – COVID-19 and the pharmaceutical industry

How is the pharmaceutical industry responding to COVID-19?

VIEW MORE