合煦智远基金官网-合煦智远基金管理有限公司
合煦智远基金官网-合煦智远基金管理有限公司 合煦智远基金官网-合煦智远基金管理有限公司
合煦智远基金官网-合煦智远基金管理有限公司 合煦智远基金官网-合煦智远基金管理有限公司
Mr. Ji LI
General Manager/Fund Manager
Doctor of Economics, Peking University
Over 22 years of experience in the mutual fund industry
Manager of United Vision Jiaxuan Hybrid Securities
Investment Fund (From June 28, 2023)
Extensive Investment Research Experience : Mr. Li previously served at Harvest Fund, Changsheng Fund, and Orient Fund, etc., with roles spanning Mechanical Industry Analyst, Deputy Macro Strategy Director, Research Director, and Portfolio Manager of Orient Select Fund. He managed assets totaling ¥16 billion and was honored with the Golden Bull Fund Award.
Robust Investment Framework : Mr. Li implements a tri-level analytical framework (macro, industry, stock) with MACRO-GARP strategy: top-down allocation based on economic cycles, industry dynamics, and policy shifts & bottom-up selection prioritizing valuation, growth potential, and shareholder returns.
Mr. Huiyong HAN
Deputy General Manager/Fund Manager
Bachelor of Science,Peking University/Master of
Economics,The Graduate School of the People's Bank of
China,CFA,FRM
Over 24 years of experience in the securities and fund
industry,and over 22 years of investment and research
experience in the securities and fund industry
Manager of United Vision Wenjin Bond Securities
Investment Fund (From March 6, 2023)
Manager of United Vision Chengzheng 30-day Holding
Period Bond Securities Investment Fund
(From September 7, 2023)
United Vision Jiayue Government and Quasi-Government
Bond Securities Investment Fund
(From July 11, 2024)
Professional Experience: Mr. Han joined China Asset Management in 2000, where he served as Deputy General Manager of the Research & Development Department, Fund Manager, General Manager of the Fixed Income Department, and Managing Director. Mr. Han later joined QI’AN Capital as Vice President (2017) and United Vision Asset Management as Vice President (2022).
Investment Expertise: With over 15 years managing mutual and social security fund portfolios, and with 3+ years pioneering private fund investments, Mr. Han oversaw assets exceeding ¥30 billion. At China Asset Management, he led the fixed income division managing ¥300+ billion in assets. He is a recipient of multiple Golden Bull Fund Awards and Morningstar Fund Manager Awards.
Core Competencies: Mr. Han excels in asset allocation with acute sensitivity to capital market dynamics, demonstrating proven expertise in risk management and drawdown control.
Investment Philosophy: Mr. Han specializes in analyzing macroeconomic fundamentals, policy dynamics, liquidity conditions, and market supply-demand dynamics through both qualitative and quantitative research to identify investment opportunities, with focuses on duration strategies, yield curve optimization, security selection, and hedging strategies.
Mr. Zhiyong YANG
Deputy General Manager/Fund Manager
Bachelor of Engineering, Tongji University, with over 28
years of investment and trading experience in the securities
and fund industry
Manager of United Vision Thematic-Consumption Equity
Securities Investment Fund (From June 30, 2022)
Manager of United Vision CNI Xiangmi Lake Fintech Index
Securities Investment Fund (LOF) (From June 30, 2022)
Rich experience in investment and trading: Mr. Yang has extensive experience serving at China Cinda Trust (formerly CCB Trust), Galaxy Securities, Gaohua Securities (Goldman Sachs' China platform), and China Investment & Guarantee, engaging in proprietary investment/trading operations, Qualified Foreign Institutional Investors (QFII) agency trading, and asset management (including quantitative investment and arbitrage strategies), with deep expertise in the investment characteristics of domestic and international institutional investors.
Strategic focus: Mr. Yang focuses on adaptive asset allocation across market cycles, emphasizing balanced diversification to mitigate risks and harmonizing probability, risk-reward ratio, and efficiency in portfolio construction. He prioritizes index-based instruments for systematic exposure, rigorous liquidity risk management, and capitalizes on event-driven arbitrage opportunities grounded in market certainty.
Mr. Wujian LIU
Fund Manager
Bachelor of Mathematics, Peking University/MBA,
Guanghua School of Management
Over 10 years of experience in the financial industry, and
7 years of industry experience
United Vision Jiayue Government and Quasi-Government
Bond Securities Investment Fund
(From April 8, 2025)
Rich experience: Mr. Liu previously served as Vice President of the Investment Department at Zhengyuan Investment Co., Ltd. and Quantitative Researcher at Beijing Jizhi Investment Management Co., Ltd.
Quantitative system: Mr. Liu leverages advanced intelligent technologies and cutting-edge algorithms for portfolio modeling to efficiently iterate investment strategies; demonstrates profound expertise in macroeconomic analysis and investment tactics, strategically adjusting partial hedge ratios to maximize returns; employs multi-dimensional algorithmic research to uncover short-term trading opportunities.