John Lin

John Lin

Chief Investment Officer—China Equities

17 Years at AB
21 Years of experience

John Lin is the Chief Investment Officer of China Equities. He has been the lead Portfolio Manager of China Equities since 2013 and is responsible for managing the China A Shares Value, China Net Zero Solutions, China Low Volatility and All China Equity Strategies. Lin is also a Portfolio Manager for Emerging Markets Value Equities since 2021. From 2008 to 2022, he served as a senior research analyst, responsible for covering financials, real estate and conglomerate companies in Hong Kong and China. Lin joined the firm in New York in 2006 as a research associate, covering consumer services companies for US Small & Mid-Cap Value Equities. Previously, he was a technology, media and telecom investment banker at Citigroup. Lin holds a BS (magna cum laude) in environmental engineering from Cornell University, and an MBA from the Wharton School at the University of Pennsylvania, where he earned the distinction Graduation with Honors. Location: Singapore

China’s Green Enablers Deserve a Place in Equity Funds
China’s Growth and Policy Priorities Pave New Paths to Equities
China’s Growth Push Adds Optimism to Equities
China’s Green Reforms to Clean Up Dirty Industries Creates Opportunity
Can Onshore Stocks Offer Shelter from China’s Market Storm?
Deciphering China’s 2060 Carbon-Neutral Plan
China’s Uneven Equity Rally Opens New Roads to Recovery
Why Have Chinese Stocks Held Up So Well?
Preparing Chinese Holdings for Potential US Action
China’s Coronavirus Experience: Lessons for Global Investors
Revisiting China’s Equity Markets as Coronavirus Spreads
Investing in Chinese Stocks After the Trade Truce
Chinese Stocks Poised for Bigger Role on Global Market Stage

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