Zhuang Dinghua
Mergers & Acquisition Analysis with APAC & Real Estate Focus
A self-driven simulation of a Hong Kong property M&A transaction, replicating every key execution step, from teaser to merger model. Reflecting deal dynamics, HKEX disclosure rules, privatisation triggers, & capital structures.
Built a comparative market screening of all HKEX- & SGX-listed REITs to support cross-border pitch origination & consolidation targeting. Compiled data on market capitalisation, P/NAV, WALE, gearing, & geographic exposure, visualised in a dynamic dashboard.
Sector-weighted defense strategy for a bank's property portfolio: dynamic LTV triggers for high-vacancy zones, rotation into resilient assets, & Mainland developer haircuts. Cuts projected provisions by 18% while boosting ROE by 1.2pp.
Structured sustainability-linked revolvers with KPI-triggered margin adjustments. Modelled on HSBC's $1B New World deal, showing 15% client savings while de-risking transition exposure for lenders.
Deep dived into covenant tightness, collateral coverage, & rate sensitivity for top developers. Revealed Henderson's 23% higher refinancing risk at 5% HIBOR, informing tighter LTV thresholds & tenors.