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The Investor's Guide to Asia

The Investor's Guide to China: Stock picking (#2)

Sep 16, 2019
Jing Ning, a senior China equity portfolio manager with 20 years of experience, and Casey McLean, an investment analyst specialized in Chinese tech stocks, share intriguing insights on navigating the complexities of China's equity market. They discuss effective stock picking strategies, the crucial differences between state-owned and private companies, and the trend of premiumization among Chinese consumers. The conversation also emphasizes the significance of on-the-ground research and cultural immersion for successful investments in this rapidly evolving economy.
31:25

Podcast summary created with Snipd AI

Quick takeaways

  • Investing in China's market demands a thorough understanding of evolving sectors, emphasizing technology and consumer brands over traditional manufacturing.
  • Effective stock picking requires meticulous analysis of corporate governance and a focus on quality over historical performance to mitigate risks.

Deep dives

Investor Concerns and Market Dynamics

There is a prevalent sense of skepticism among investors regarding China's economic stability due to its rapid credit growth and infrastructure investments over the past decade. Many investors frequently express their anxieties about a potential economic downturn and the risks associated with investing in the relatively chaotic Chinese market. This 'wall of worry' manifests in persistent questioning about when a reckoning may occur for China’s economy. Despite these concerns, the potential for high rewards remains significant for those with the appropriate analytical tools and long-term perspective.

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