Wilfred Wee

Wilfred Wee

Co-Portfolio Manager, All China Bond

In the company since


Years in the industry



Wilfred is in the Emerging Markets Fixed Income team at Ninety One and is co-portfolio manager for the All China Bond strategy. Wilfred contributes to regional analytical research for Asia. Prior to joining the firm, Wilfred worked for the Government of Singapore Investment Corporation (GIC) for nine years, three of which were based in New York. At the GIC, Wilfred was a portfolio manager and lead credit analyst for Emerging Market credit, focused on Asia. He was also credit analyst and strategist responsible for European financials. Wilfred holds a Bachelor of Arts (Hons) degree in Economics from the University of Cambridge, a Master’s degree in Financial Mathematics from Stanford University, and is also a CFA® Charterholder.