• Wang Geng

    Partner

    • BS in Finance from Zhongnan University of Economics and Law, Master in Finance from MIT Sloan School of Management
    • Previously worked at Everbright Securities, Guohai Securities, Ping An Insurance
    • Over 25 years of alternative asset investment experience
    • Holds CFA and FRM certifications
    
                                        
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    Mr. Wang Geng holds a BS in Finance from Zhongnan University of Economics and Law and a Master in Finance from MIT Sloan School of Management. He began his career at Everbright Securities' Asset Management Department, serving as Deputy General Manager, focusing on securities asset management and structured product design. In 2003, he joined Guohai Securities as Head of Asset Management, leading fixed income and equity product issuance. In 2008, he moved to Ping An Insurance Group's Capital Operations Center as General Manager of the Alternative Assets Investment Department, building private equity, private credit, real estate, and infrastructure investment systems with peak AUM exceeding RMB 20 billion. Since 2019, he has been a Partner at CEC Capital, focusing on private equity and industrial funds, leading landmark investments in energy, healthcare, and consumer sectors with a composite IRR exceeding 20%. With over 25 years in alternative assets, he combines a securities asset management framework with insurance capital allocation perspectives, holding CFA and FRM certifications.
  • Li Xubo

    Head of PE Business

    • BS from Tsinghua University School of Economics and Management, MBA from Stanford Graduate School of Business
    • Previously worked at J.P. Morgan New York Investment Banking, Warburg Pincus
    • Over 30 years of private equity investment experience
    • Holds CFA certification
    
                                        
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    Mr. Li Xubo holds a BS from Tsinghua University School of Economics and Management and an MBA from Stanford Graduate School of Business. He began his career at J.P. Morgan's New York investment banking department, leading cross-border M&A and capital markets transactions. In 2005, he returned to China and joined Warburg Pincus, serving as Director and Executive Director, deeply involved in the early establishment of China's PE market, leading landmark investments in consumer, healthcare, and technology sectors. In 2018, he joined CEC Capital as Head of PE Business, leading projects covering manufacturing upgrading and new energy. With over 30 years of private equity investment experience, he combines a foreign investment banking framework with local industrial investment perspectives, holding a CFA certification.
  • Wang Yifang

    Financial Business Architecture Expert

    • BS in Finance from Nankai University, Master in Finance from Cheung Kong Graduate School of Business
    • Over 20 years of financial institution architecture design experience
    • Cumulative structured financing solutions exceeding RMB 10 billion
    
                                        
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    Mr. Wang Yifang holds a BS in Finance from Nankai University and a Master in Finance from Cheung Kong Graduate School of Business. He is a financial enterprise and business system architecture expert. With over 20 years of experience in financial institution top-level architecture design, his core capabilities focus on three areas: first, group-level business architecture integration, breaking down barriers between banking, securities, and asset management licenses to design a "agile front-end + shared middle platform + concentrated back-end" collaborative system; second, financial product and structured solution construction, leading the underlying logic design of standardized solution libraries including ABS, private placements, and cross-border structured financing, with cumulative institutional structured financing solutions exceeding RMB 10 billion; third, financial institution digital transformation roadmap planning, providing "business architecture - data architecture - organizational governance" integrated systematic services. His style is "building the skeleton from 0 to 1, setting the rules from 1 to N," making him a systematic architect combining financial license practice with systems engineering thinking.
  • Chen Liancheng

    Partner and Investment Director

    • Master in Economics, 18 years of securities industry experience
    • Former Head of Equity Investment at a top mutual fund
    • Peak AUM exceeding RMB 8 billion
    • Holds CFA and FRM certifications
    
                                        
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    Mr. Chen Liancheng holds a Master in Economics with 18 years of securities industry experience, including 12 years as a fund manager. He started as an industry researcher at a major mutual fund, covering manufacturing and cyclical sectors. In 2014, he became assistant fund manager, and from 2016, he independently managed equity funds, serving as Head of the Equity Investment Department at a top mutual fund. His peak AUM exceeded RMB 8 billion, with annualized returns beating the benchmark by 6.2% and maximum drawdown control superior to peer averages. In 2023, he joined a top private equity firm as Partner and Investment Director, leading multi-strategy equity products. He is proficient in fundamental stock selection and macro asset allocation, excelling in GARP strategy and portfolio dynamic rebalancing, holding CFA and FRM certifications.
  • Shen Jiran

    Head of Risk Management

    • Graduated from Shanghai University of Finance and Economics, Visiting Scholar at University of Pennsylvania
    • Previously worked at ICBC provincial branch and joint-stock bank headquarters risk control
    • Holds FRM and CFA Level III certifications
    
                                        
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    Mr. Shen Jiran graduated from Shanghai University of Finance and Economics and was a visiting scholar at the University of Pennsylvania. He formerly served as head of the credit approval department at an ICBC provincial branch, deepening his expertise in corporate credit review and post-loan warning systems for eight years, participating in building early industry limit models. In 2016, he transferred to a joint-stock bank headquarters risk control center, leading the implementation of Basel III internal ratings and the construction of retail stress testing frameworks as a senior risk expert. In 2020, he crossed over to the securities and investment banking system, successively managing credit bond investment risk control and subsidiary compliance consolidation. He excels at establishing dynamic balance mechanisms between business expansion and risk exposure. Holding FRM and CFA Level III certifications, he is known for his "data-driven decisiveness" style and is a risk management professional combining headquarters-level institutional vision with frontline asset disposal experience.
  • Zhao Chengqi

    Head of Financing

    • Master in Finance from Shanghai University of Finance and Economics, PhD in Public Finance from Central University of Finance and Economics
    • Previously worked at CITIC Securities Debt Financing Department, Guotai Junan Securities
    • Cumulative issuance exceeding RMB 30 billion
    • Holds CPA and CFA certifications
    
                                        
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    Mr. Zhao Chengqi is an expert in the Ministry of Finance debt management database. He holds a Master in Finance from Shanghai University of Finance and Economics and a PhD in Public Finance from Central University of Finance and Economics. He began his career at CITIC Securities' Debt Financing Department, leading the design of local government special bonds and urban investment enterprise bonds with cumulative issuance exceeding RMB 30 billion. He later served as head of Guotai Junan's bond underwriting team, focusing on listed company corporate bonds, medium-term notes, and ABS product innovation. In 2018, he joined a provincial state-owned capital operation platform as Financing Director, coordinating platform debt resolution and transformation, designing a "debt-loan combination + REITs exit" structure, resolving over RMB 8 billion of implicit debt. Since 2020, he has been with CEC Capital, fully responsible for the financing system, listed company refinancing, and credit rating management, maintaining an AAA entity rating. He is proficient in government credit financing across fiscal, monetary, and regulatory policy frameworks, holding CPA and CFA certifications.
  • Lin Xuzhen

    Investment Director

    • Master in Finance from LSE
    • Previously worked at CICC Investment Banking, Morgan Stanley Hong Kong, Hillhouse Capital
    • Cross-border M&A transaction volume exceeding USD 1.5 billion
    • Holds CFA Level III
    
                                        
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    Ms. Lin Xuzhen holds a Master in Finance from LSE. She began her career at CICC's Investment Banking Department, participating in A-share IPOs and refinancing for consumer and healthcare companies. She later joined Morgan Stanley's Hong Kong investment banking department, focusing on cross-border M&A and Hong Kong stock issuances, with transaction volume exceeding USD 1.5 billion. In 2022, she joined Hillhouse Capital as VP, focusing on growth-stage investments in hard technology and new energy, leading due diligence and investment decisions, managing assets of nearly RMB 600 million, and executing an M&A exit (IRR 32%). Fluent in both Chinese and English, she holds CFA Level III. Combining a foreign investment banking execution framework with primary market industrial investment perspectives, she excels in full-cycle closed-loop solutions from capital operations to industrial implementation.
  • Zhou Junning

    Head of Equity and Mixed Strategy Investment

    • BS in Finance from Nankai University, Master in Financial Engineering from Yale School of Management
    • Previously worked at CICC Fixed Income, Harvest Fund, Orient Securities Asset Management
    • Peak AUM of managed collective asset management plans exceeding RMB 18 billion
    • Holds CQF and CFA certifications
    
                                        
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    Mr. Zhou Junning holds a BS in Finance from Nankai University and a Master in Financial Engineering from Yale School of Management. He began his career at CICC's Fixed Income Department, focusing on interest rate bonds and derivatives trading. In 2011, he joined Harvest Fund's segregated account investment department as an investment manager, specializing in absolute return strategies and multi-asset allocation, managing social security and insurance mandate accounts with a cumulative annualized return of 9.4% and annualized volatility controlled within 3.5% over seven years. In 2018, he joined Orient Securities Asset Management as Assistant General Manager and Head of Fixed Income Investment, building a "macro-driven + quantitative timing" dual-engine system with peak AUM exceeding RMB 18 billion. Since 2024, he has joined CEC Capital, leading equity and mixed strategy investments. Known for his "low volatility, high win rate" style, he excels in equity-bond rotation and tail risk hedging, holding CQF and CFA certifications.