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    26 Years of History

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    100+ Professionals in Beijing, Shanghai, Shenzhen and San Francisco

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    500+ Closed Deals
    Since Our Launch

  • $0B+

    $70+ billion in Deal Value

About Us

CECC Capital Fund (Beijing) Co., Ltd. is a state-controlled comprehensive investment and financing platform established with approval from market regulatory authorities. It is deeply integrated into the national "Belt and Road" Initiative and the new-era Western Development Strategy, anchored by state-owned capital and driven by market-oriented mechanisms, committed to building a first-class investment management platform with international vision.

The company has established a full-compliance investment and financing operation system. On the capital side, it leverages state-owned credit endowments to link banks, insurance companies, trusts and other licensed financial institutions with family offices, industrial capital and other diverse channels, achieving scalable capital raising capacity and robust capital supply. On the investment side, it brings together senior investment and research talents from leading securities firms, public fund companies and large asset management institutions, forming a full-dimensional professional team covering macro strategy research, industry track judgment, quantitative strategy modeling and risk assessment pricing, focusing on core areas such as equity investment, securities investment, futures and derivatives, alternative asset allocation, and hedge fund strategies, precisely capturing quality assets and deploying globally.

The company upholds the asset allocation philosophy of "based in China, allocating globally", deeply tracks cross-border capital flows and global major asset rotation trends, uses cross-regional, cross-cycle, and cross-strategy diversified portfolios to navigate market volatility, drives excess returns through professional investment research depth, and guards long-term compound value with a scientific risk management system.

Compliance and risk control are the bottom line and lifeline of the company's operations. The platform has built a three-level risk control structure covering pre-investment due diligence, mid-investment dynamic monitoring, and post-investment continuous tracking, ensuring that every investment decision can withstand the test of the market and the scrutiny of time.

As a state-controlled comprehensive platform, the company deeply integrates the robust genes of state-owned capital with the professional vitality of market-oriented mechanisms, takes the struggler as the foundation, and value creation as the orientation, providing a development platform with both career height and market competitiveness for outstanding talents. CECC Capital Fund will continue to benchmark against international first-class investment management institutions, create value through professionalism, build the future through stability, and strive to become a state-owned comprehensive investment and asset management platform trusted by investors and aspired to by professional talents.