Mr. Shi received a Master's Degree in Business Administration (MBA) from Tsinghua University and an Executive Master's Degree in Business Management (EMBA) from China Europe International Business School. He has held several positions during his employment with I&G;, including Deputy General Manager of Marketing Department II, General Manager of the Financial Products Department and the head of the Financial Products Center. Currently, he serves as President of I&G;, Chairman of I&G; Xinyu and Non-Executive Director of China International Capital Corporation Limited.
Mr. Dong earned an EMBA from PBC School of Finance, Tsinghua University. He formerly served as General Manager of the Investment Department, Director of the Investment Center and Chief Investment Office of I&G;, Deputy General Manager of I&G; Xinyu, Non-executive Director of CDH Investments. He is well versed in capital market investment, real estate finance, structured financing and private equity investment. Currently, he serves as General Manager of I&G; Xinyu.
Mr. Li earned a Master's Degree in Finance from the School of Finance of Renmin University of China and an EMBA from China Europe International Business School. He formerly served as Deputy General Manager, General Manager of the Financial Products Department of I&G;, and Deputy General Manager of I&G; Xinyu. Currently, he serves as Chief Risk Officer of I&G;, Chief Risk Officer of I&G; Xinyu and Vice Chairman of Dongbaojin Asset Management Corporation.
Mr. Liu has a high level of professionalism with over 20 years of investment experience. He is a skilled business professional and has led the team to great heights. Over the past 15 years, his team has done impressively in equity and fixed income classes with a focus on long-term stable returns. Currently, his focus on asset management is principal-protected products and FOF products.
Mr. Xu has more than 10 years of experience in real estate financing. Since 2015, his team has focused on structured investment in private equity real estate funds. By combining equity and bond, the company has thrived in the asset management market. Skilled in specialty investment and project management, Mr. Xu has generated the best risk-adjusted returns for investors and is committed to creating a fund management brand with a heavy emphasis on commercial real estate acquisition. At present, the main direction of the Company's Asset Management Department is real estate investment and financing and structured products.
Mr. Li has many years of experience in research and development of fixed income products. With in-depth insights into relevant markets and proven ability to manage risks, he has established good relationships with institutional investors and intermediaries in major markets and raised more than RMB10 billion funds over the years. Since 2014, thanks to his experience and market resources, his team has grasped opportunities to develop fixed income products for secondary markets. Their efforts have been fruitful and generated satisfying returns for customers. Currently, his focus on asset management is providing customers with high standard integrated services, including development, sales and trading of fixed income products.
Mr. Huang has extensive experience in research, development and marketing activities related to structured financing platforms as well as short- and medium-term investment. He demonstrates great market risk sensitivity and strong risk-management ability. Currently, his focus on asset management is real estate investment and financing, management of equity investments, and funds that invest in mergers and acquisitions, distressed assets and special opportunities.