Profile
Cheng Dong Guo worked as a Portfolio Manager at JPMorgan Asset Management (China) Co., Ltd. Mr. Guo also worked as a Portfolio Manager at Tebon Fund Management Co. Ltd. Former jobs include Portfolio Manager positions at JPMorgan Asset Management (China) Co., Ltd. and Tebon Fund Management Co. Ltd.
Former positions of Cheng Dong Guo
| Companies | Position | End |
|---|---|---|
Tebon Fund Management Co. Ltd.
Tebon Fund Management Co. Ltd. Investment ManagersFinance Tebon FM is an active, long-term, value-based manager which aims to achieve sustainable, stable, and excess returns. The firm conducts in-depth fundamental analysis and practices strict risk control, seeking to identify market trends. | Director of Research - Equity | - |
JPMorgan Asset Management (China) Co Ltd.
JPMorgan Asset Management (China) Co Ltd. Investment ManagersFinance JPMAM China is an active, growth-oriented manager with a long-term investment horizon. Their investment solutions provides access to exciting opportunities in China’s equity market, which is being transformed by long-term consumer trends towards technology and sustainability, and in China’s bond market, which is attracting a growing proportion of global fixed income flows. | Portfolio Manager-Equities | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Linked companies
| Private companies | 2 |
|---|---|
JPMorgan Asset Management (China) Co Ltd.
JPMorgan Asset Management (China) Co Ltd. Investment ManagersFinance JPMAM China is an active, growth-oriented manager with a long-term investment horizon. Their investment solutions provides access to exciting opportunities in China’s equity market, which is being transformed by long-term consumer trends towards technology and sustainability, and in China’s bond market, which is attracting a growing proportion of global fixed income flows. | Finance |
Tebon Fund Management Co. Ltd.
Tebon Fund Management Co. Ltd. Investment ManagersFinance Tebon FM is an active, long-term, value-based manager which aims to achieve sustainable, stable, and excess returns. The firm conducts in-depth fundamental analysis and practices strict risk control, seeking to identify market trends. | Finance |
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