Funds and strategies

China Equity Fund

China currently ranks as the second largest economy in the world. We believe that investors can benefit from a local presence to exploit the range of regulatory, social and economic factors that influence the Chinese market.


Broad and diversified exposure to Chinese companies – both onshore and offshore.



Investor benefits



The low correlation of Chinese equities with other equity markets makes them an attractive and useful diversifier.



Our local presence allows you exposure to shares listed in the Chinese domestic market (A-shares) as well as offshore (including H-shares).



Gain defensive, large cap value exposure across Pan China.


Fund factsheet

Latest performance and holdings information for the Russell Investments China Equity Fund.

View the factsheet


The most comprehensive way to capture opportunities in China. Find out more.

Download brochure

Risk from Chinese debt?
We think it's overblown

As the worries mount, it’s worth addressing whether these concerns are truly warranted.

Find out more

Equity Manager Report

How have active equity managers fared? Check out the latest insights from our manager research team.

View report

Ready to take the next step? We're here to help.

For questions, contact Jim:



020 7024 6400

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Any opinion expressed is that of Russell Investments, is not a statement of fact, is subject to change and does not constitute investment advice.

The value of investments and the income from them can fall as well as rise and is not guaranteed. You may not get back the amount originally invested.

Please refer to the prospectus of the relevant [UCITS or AIF or EuSEF or EuVECA] and/or Information document of the relevant [AIF/EuSEF/EuVECA], and (where relevant) to the [KIID/KID] before making any final investment decisions.

The fund intends to invest in China A-Shares through the RQFII quota of the Manager or via the Shenzhen-Hong Kong Stock Connect and Shanghai-Hong Kong Stock Connect (“Stock Connect”) and may be subject to specific risks, including but not limited to, custodial risk, settlement risk, regulatory risk and risks associated with the Manager’s RQFII status. In addition, both RQFII and Stock Connect are relatively new and there may be uncertainty in implementation and such policy and rules are subject to change. All these may adversely impact the fund.

Potential investors in emerging markets should be aware that investment in these markets can involve a higher degree of risk.