Manager Profile

HSBC China Dragon Fund

HSBC Global Asset Management

HSBC Global Asset Management is the core global investment solutions and client service platform of HSBC Group, specialising in working with clients or their advisors to design and deliver bespoke investment solutions. With a dedicated network of offices in over 20 countries around the world, HSBC Global Asset Management integrates the expertise of investment teams operating worldwide to develop investment strategies that add value for clients.  As part of the HSBC Global Asset Management, Halbis Capital Management in bringing investment products and services to clients worldwide. 

Halbis Capital Management

Halbis, a specialist investment business within the HSBC Global Asset Management, is an active investment manager focused on delivering sustainable value-added performance in selected areas of the global market. It specialises only in areas where it is or will be highly competitive, namely European equities, value-added fixed income, Asian and Emerging Markets equities, and some alternative strategies.

Manager’s biography

Richard Wong
Investment Director, Equities
Head of China Investment Team
Halbis Capital Management (HK) Limited
Richard is a fund manager in the Asia ex Japan equity team. He has overall responsibility for investments in the Chinese equity market. Richard has been working in the industry since 1985. He first joined HSBC Investments in 1993, then left to work for Nikko Capital Management as a senior portfolio manager for one and a half years. Richard returned to HSBC in 1997 and moved to Halbis upon its establishment in 2005. Richard started his career at Moody’s Investors Service as a research associate in New York. Richard holds a BA in Economics and Computer Science from Columbia University and an MBA in Finance from New York University.


Contact Us

HSBC Global Asset Management (Hong Kong) Limited
Level 22, HSBC Main Building
1 Queen's Road Central
Hong Kong
Tel: (852) 2284 1118
Fax: (852) 2845 0226

Important notes :

The Fund is a close-ended fund and no investors may demand redemption of their units. The listing of the Fund on the Hong Kong Stock Exchange does not guarantee a liquid market and the Fund may be delisted. The Fund’s market price on the Hong Kong Stock Exchange may be different from its net asset value per unit. Currency movement may affect the value of investments. Investment in emerging market involves higher risks. The Fund invests part of its assets in China A-shares, which are subject to specific risks and restrictions as disclosed in the offering document. The Fund differs from a typical trusts and investors should read the offering document for details.