William Blair China Growth Strategy
Focused portfolio of 30-70 high-quality growth Chinese companies diversified across share class, market capitalization, and industries provides access to some of the most innovative and fastest-growing markets in the world.
Capturing the China Growth Opportunity
Investments geared toward structurally attractive growth areas in China, including some of the most inefficient and uncorrelated investments in the China A-Share market, which provides significant diversification potential to global investors.
Disciplined Investment Approach
Combines deep fundamental research with systematic inputs to consistently identify alpha opportunities.
Consistent Philosophy, Process
William Blair has over 20 years of experience investing in emerging markets with the same philosophy and process.
Long Experience in China
We have been investing in China since 1996 and in China A-Shares since 2013.
We manage $19.78 billion in emerging market securities across all strategies, $14.86 billion in dedicated emerging market strategies, and $4.99 billion in Chinese equities (including $1.57 billion in China A-Shares) across all strategies as of September 30, 2021.
Emerging markets make up a disproportionate percentage of our quality growth universe: 46% and China represents close to half of that universe.
As of September 30, 2021
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Featured Blog Posts
Corporates are becoming an ever more important part of emerging markets hard currency debt investments. In this video,...
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