Galaxy Jinhui Securities Asset Management Co., Ltd. is a wholly-owned subsidiary of China Galaxy Securities Co., Ltd. (601881.SH, 06881.HK).
Galaxy Jinhui Securities Asset Management Co., Ltd. was formerly the Asset Management Department of Galaxy Securities. On April 25, 2014, the company obtained its business license as a legal person. According to business registration information, the legal representative is Yin Yanwu, the registered capital is RMB 1 billion, the registered address is in Qianhai, Shenzhen, and the business scope is securities asset management. As of the end of 2018, assets under management reached RMB 259.1 billion, ranking 14th in scale. From 2014 to 2018, the company's asset management business revenue ranking among securities companies' asset management business revenue rose from 23rd to 11th, showing significant progress.
2. Business philosophy: In accordance with national laws and regulations, policies, and international practice, the company is committed to developing securities business, adhering to the corporate spirit of "Loyalty, Inclusiveness, Innovation, Excellence" and the business philosophy of "Customer First, Employees Foremost," upholding the corporate mission of "Creating Value, Growing Wealth," striving to build "First-class Service, Investment Banking," maximizing shareholders' long-term interests and corporate value, and promoting and supporting the development of the national economy and the securities market.
The company has established 5 investment departments, including the Equity and Quantitative Investment Department, Fixed Income Investment Department, Alternative Investment Department, Multi-Strategy Investment Department, and Fixed Income Investment Department II.
The investment research team has an average of 8.8 years of securities investment experience, having gone through numerous bull and bear market cycles in the Chinese stock market, and is highly experienced. The company has introduced market-oriented mechanisms, restructured its original business lines according to business categories and team expertise, and implemented a team-based management system based on extensive reference to industry experience, achieving a high degree of integration between researchers and investment personnel.
The asset management product system is comprehensive, having developed various product categories such as money market, index, fund, cash, quantitative, fixed income, and new share subscription, ensuring that customers can choose products in any market cycle, regardless of risk preference.
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