Wei Zhang is a Portfolio Manager at Matthews Asia and co-manages the Asia Total Return Bond and Asia Credit Opportunities Strategies. Prior to joining the firm in 2015, he earned an MBA from Columbia University. From 2008 to 2012, Wei worked as an analyst at Bluecrest Capital Management, evaluating fundamental investments in equity and credit, with a focus on industrials, basic materials and energy sector opportunities. From 2007 to 2008, he was also an analyst with GF Capital Management, where he performed in-depth fundamental research, built and maintained financial models and participated in acquisition contact negotiations. He started his career as an analyst at Sowood Capital Management in 2006. Wei received a B.S. in Finance and International Business from the Leonard N. Stern School of Business at New York University. He is fluent in Mandarin.
Wei has been a Portfolio Manager of the Matthews Asia Total Return Bond since 2018, and of the Mattthews Asia Credit Opportunities Fund since 2022.
Co-Manager: Matthews Asia Total Return Bond Fund, Mattthews Asia Credit Opportunities Fund