News

SFI Launched Annual Report on ESG Investing in China’s Asset Management Industry 2022

Release time:29 December 2022

As an important pillar of sustainable financial development, ESG emphasizes the coordinated development of economy, environment and society, which coincides with China's policy philosophy of "high-quality development" and "green development". With the gradual clarification of national strategy, regulatory direction, industry consensus and client needs, in order to jointly promote the vigorous development of ESG investment in China and explore new opportunities for global ESG investment, Shenzhen Finance Institute of The Chinese University of Hong Kong, Shenzhen and Huaxia Wealth Management jointly released the "Annual Report on ESG Investing in China’s Asset Management Industry 2022" on December 29, 2022.


Editor-in-Chief


Zhang Bohui

Executive Dean of School of Management and Economics, Presidential Chair Professor, CUHK-Shenzhen

Director of the Center for FinTech and Social Finance, Shenzhen Finance Institute


Yuan Zhihong

President of Huaxia Wealth Management

Ph.D. in Economics