Johnny Chen, CFA, serves as a Portfolio Manager at William Blair since February 2020, where responsibilities include launching and managing Emerging Markets (EM) debt funds while integrating ESG metrics into analysis. Prior experience includes serving as an Investment Manager at NN Investment Partners, where management of EM Local Bond and Local Currency strategies for Asia was a primary focus, alongside advising on global asset allocation and leading efforts to access the China bond market. Earlier roles included a Management Rotational Program with duties across various sectors, a Summer Analyst position at Goldman Sachs enhancing trading technologies, and internships with firms such as Yuanta Securities and News Corp. Educational qualifications include an MBA from INSEAD, an MSc in Financial Computing from UCL, a BSc in Economics from UCL, and completion of a Chinese studies program at Peking University.
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