Established in 2001, E Fund Management Co., Ltd. (“E Fund”) is the largest mutual fund manager in China with over RMB 4.1 trillion (USD 585 billion) under management as of Dec 31, 2025. It is a comprehensive investment company and it offers investment funds and solutions to both individual and institutional investors such as central banks, sovereign wealth funds, social security funds, pension funds and large financial institutions. Long-term oriented, E Fund has been consistently delivering excellent mid- to long-term investment performances. The company is also the pioneer in responsible investments in China and is widely recognized as one of the most trusted and outstanding Chinese asset managers.
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585AuM in USD bn
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1Monthly Non-MMF AuM Ranking
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300+China Focused Investment Professionals
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E Fund provides comprehensive active equity investment solutions for clients. We continuously strengthen our ability to deliver sustainable long-term alpha while expanding our asset management scale. Over time, we have built a diversified strategy platform with clear and consistent investment styles, supported by a proven long-term track record across market cycles.Learn more
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E Fund’s fixed income team combines deep research with both top-down and bottom-up investment approaches to help clients achieve their investment goals while managing risk effectively. Over the years, we have built a team of specialists across different fixed income sub-asset classes, supported by strong forward-looking research and investment capabilities. Our products have performed through multiple market cycles, consistently delivering stable long-term returns.Learn more
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E Fund offers comprehensive cash management services that place strong emphasis on managing liquidity risk, credit risk, and interest rate risk. This rigorous and effective risk management lays the solid foundation for our smooth and stable operation.Learn more
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E Fund’s multi-asset investment is anchored on the Company's comprehensive investment and research platforms. Based on rigorous risk controls, we aim for stable capital appreciation by employing dynamic asset allocation strategies within our investable universe. This approach allows us to achieve steady capital appreciation leveraging the full range of available strategies and while managing risk effectively.Learn more
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E Fund was one of the first fund managers in China to establish a dedicated index investment team. Since 2004, our index product lineup has experienced rapid expansion, encompassing index funds and ETFs, ranging from broad-based to thematic, and spanning from domestic to global markets. Furthermore, we offer tailored services to large institutional clients, including index customization and index portfolio solutions.Learn more
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E Fund quantitative investment team provides comprehensive solutions for our investors. Leveraging advanced quantitative modeling, computer simulation, and data analysis, we aim to deliver long-term, sustainable investment returns. Over the past decade, we have developed a series of investment strategies with varying risk and return characteristics, including index-enhanced, active quant, and quantitative hedging to satisfy the needs of our investors.Learn more
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E Fund offers a range of FOF mutual funds, pension target funds, and segregated mandates. The investment scope can be all-market mutual funds or within E Fund’s mutual fund offerings. Building on our investment and research experience, we uncover investment opportunities from different asset classes, achieve optimal asset allocation through fund selection, and strive to bring long-term sustainable returns for our clients.Learn more
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E Fund Asset Management Co., Ltd. (referred to as "E Fund AMC") serves as E Fund's dedicated platform for alternative investments. Established on June 28, 2013, E Fund AMC is a wholly-owned subsidiary of E Fund. It is licensed by the China Securities Regulatory Commission (“CSRC”) to offer alternative asset management solutions, including private equity and infrastructure investments, to qualified investors.Learn more
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Over the past two decades, we have partnered with clients to capture China’s investment opportunities across different market cycles. Supported by our extensive local expertise and resources, we have earned the trust of our clients and remain focused on helping them achieve their long-term financial goals.Learn more
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Insights July 24, 2025Insights | How to Implement ESG? A Comprehensive Review of E Fund’s Responsible Investment PracticesE Fund was among the first batch of domestic institutions to sign the Principles for Responsible Investment (PRI) in 2017, making a firm-wide commitment to “Be a practitioner of responsible investment and promote sustainable development in society.” -
Insights May 26, 2025Biodiversity conservation has become a national initiative as domestic and international policies progress steadily. E Fund, in collaboration with the International Institute of Green Finance (IIGF) Central University of Finance and Economics, published Biodiversity Risks in Asset managers: From Theory to Practice in the recently released Caixin China ESG Development White Paper 2024. This study conducts a quantitative analysis of the biodiversity risk exposure and risk management of asset managers, and designs a comprehensive assessment and measurement model for biodiversity risks of asset managers. -
Insights February 10, 2025In the evolving global economic landscape, the comprehensive strategic partnership between China and Brazil lays the ground for both nations to leverage their strengths and foster economic and financial cooperation that set a new model for regional economic cooperation. This white paper explores the potential of this collaboration, highlighting how it can drive sustainable development and mutual prosperity.
