GF SECURITIES(01776)
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广发资管现金增利货币增聘潘浩祥
Zhong Guo Jing Ji Wang· 2025-08-08 07:16
广发资管现金增利货币成立于2022年11月21日,截至2025年7月6日,其今年来收益率为0.39%,成 立来收益率为2.68%。截至2025年3月31日规模283.72亿元。 | 基金名称 | 广发资管现金增利货币型集合资产管理计划 | | --- | --- | | 基金简称 | 广发资管现金增利货币 | | 基金主代码 | 873001 | | 基金管理人名称 | 广发证券资产管理(广东)有限公司 | | 公告依据 | 《公开募集证券投资基金信息披露管理办法》《基 金管理公司投资管理人员管理指导意见》等法律 法规及《广发资管现金增利货币型集合资产管理 | | 基金经理变更类型 | 计划资产管理合同》 增肥重合经理 | | 新任基金经理姓名 | 潘浩祥 | | 共同管理本基金的其他基金经理姓名 | 骆眾韦 | | | 黄醇 | (责任编辑:康博) 中国经济网北京7月7日讯 近日,广发证券资产管理(广东)有限公司公告,广发资管现金增利货 币增聘潘浩祥。 潘浩祥2016年4月至2017年8月任平安证券股份有限公司固定收益部债券交易员,2017年9月加入广 发证券资产管理(广东)有限公司,曾任中央交易室债券交易 ...
广发证券资产管理任命刘宇为首席信息官
Zhong Guo Jing Ji Wang· 2025-08-08 07:16
中国经济网北京7月7日讯 近日,广发证券资产管理(广东)有限公司公告,任命刘宇为首席信息 官。 | 新任高级管理人员职务 | 首席信息官 | | --- | --- | | 新任高级管理人员姓名 | 刘字 | | 任慶日期 | 2025年7月4日 | | 过往从业经历 | 自2008年起历任厦门东南融通系统工程有限公司款 | | | 件开发工程师,广发证券股份有限公司信息技术部 | | | 系统开发尚、风险管理部模型技术开发岗、信息技 | | | 术部群组经理、信息技术部总监(D)。现任厂发证 | | | 券股份有限公司信息技术部执行董事(ED)。 | | 取得的相关从业资格 | 证券从业资格、基金从业资格 | | 国际 | 中国 | 刘宇自2008年起历任厦门东南融通系统工程有限公司软件开发工程师,广发证券股份有限公司信息 技术部系统开发岗、风险管理部模型技术开发岗、信息技术部群组经理、信息技术部总监(D)。现任 广发证券股份有限公司信息技术部执行董事(ED)。 | 基金管理人名称 | 广发证券资产管理(广东)有限公司 | | --- | --- | | 公告依据 | 《公开募集证券投资基金信息技属管理办法 ...
知名券商资管 “撤回”公募牌照申请!
Zhong Guo Ji Jin Bao· 2025-08-07 16:27
Core Viewpoint - Guangfa Asset Management has withdrawn its application for public fund management qualifications, indicating a tightening trend in public fund license approvals amid the industry's push for high-quality development [2][3]. Group 1: Regulatory Changes and Industry Context - The China Securities Regulatory Commission (CSRC) issued new regulations in May 2022, allowing brokerages to apply for public fund licenses under a "one participation, one control, one license" framework [3]. - Following the introduction of these regulations, at least six brokerage asset management firms applied for public fund licenses, but only two, namely China Merchants Asset Management and Everbright Securities Asset Management, received approval in 2023 [3]. Group 2: Guangfa Asset Management's Status - Guangfa Asset Management submitted its application for public fund management qualifications in January 2023, but has now exited the approval list as of August 1, 2023 [3]. - Currently, only Everbright Asset Management, Anxin Asset Management (now Guozhen Asset Management), and Guojin Asset Management are still in the queue for public fund licenses [3]. Group 3: Transition of Products - The deadline for the transformation of brokerage asset management's public collective products is set for the end of 2025, prompting firms to transfer these products to affiliated fund companies [5]. - Guangfa Securities holds a 54.53% stake in Guangfa Fund and a 22.65% stake in E Fund, having already initiated the transfer of ten public collective products to Guangfa Fund [5]. - As of the second quarter of 2025, Guangfa Asset Management's public collective product scale reached 32.539 billion yuan, with over 90% being money market products [6].
广发证券: 广发证券股份有限公司2025年面向专业投资者公开发行公司债券(第三期)发行结果公告
Zheng Quan Zhi Xing· 2025-08-07 16:24
Core Viewpoint - The announcement details the issuance results of the third phase of corporate bonds by GF Securities Co., Ltd., with a total issuance amount of up to RMB 50 billion, approved by the China Securities Regulatory Commission [1] Group 1: Issuance Details - The total face value of the corporate bonds issued is up to RMB 200 billion, with the third phase specifically targeting a maximum issuance of RMB 50 billion [1] - The issuance period for the bonds is from August 6, 2025, to August 7, 2025 [1] - The first type of bond has a term of 3 years, with a final issuance scale of RMB 39 billion and a coupon rate of 1.80%, achieving a subscription multiple of 1.73 times [1] - The second type of bond has a term of 5 years, with a final issuance scale of RMB 11 billion and a coupon rate of 1.88%, achieving a subscription multiple of 2.33 times [1] Group 2: Investor Participation - The board members, supervisors, senior management, and shareholders holding more than 5% of the shares did not participate in the bond subscription [2] - The underwriters and their affiliates participated in the subscription, with total allocations of RMB 3.2 billion from Guotai Junan Securities Co., Ltd.'s affiliates and RMB 1.9 billion from CITIC Securities Co., Ltd.'s affiliates [2] - All investors participating in the bond subscription comply with relevant regulations, including the Company Bond Issuance and Trading Management Measures and the Shenzhen Stock Exchange's rules [2]
广发证券: 广发证券股份有限公司2022年面向专业投资者公开发行永续次级债券(第三期)2025年付息公告
Zheng Quan Zhi Xing· 2025-08-07 16:24
Group 1 - The company issued perpetual subordinated bonds (third phase) aimed at professional investors, with interest payments scheduled for August 11, 2025, covering the period from August 11, 2024, to August 10, 2025 [1][2] - The bond has a coupon rate of 3.48%, with each unit (face value of 1,000 yuan) yielding 34.80 yuan in interest (tax included), resulting in a net interest of 27.84 yuan for individual and mutual fund holders after tax deductions [2][3] - The bond's credit rating is AAA with a stable outlook, ensuring investor confidence in the company's financial stability [1][2] Group 2 - The interest payment will be processed through China Clearing Shenzhen Branch, which will receive the funds two trading days prior to the payment date [2][3] - Tax obligations for individual bondholders include a 20% personal income tax on interest income, which will be withheld at the time of payment [3] - Foreign institutional investors are exempt from corporate income tax and value-added tax on bond interest income until December 31, 2025 [3]
广发证券: 广发证券股份有限公司2025年面向专业投资者公开发行短期公司债券(第七期)在深圳证券交易所上市的公告
Zheng Quan Zhi Xing· 2025-08-07 16:23
债券名称 | 期公司债券(第七期) | | | | | | | | --- | --- | --- | --- | --- | --- | --- | | 债券简称 25 广发 | | D9 | | | | | | 债券代码 524389 | | | | | | | | AAA/债项评级 A-1 信用评级 主体评级 | | | | | | | | 评级机构 中诚信国际信用评级有限责任公司 | | | | | | | | 发行总额(亿元) 50 | | | | | | | | 债券期限 192 天 | | | | | | | | 票面年利率(%) 1.61 | | | | | | | | 利率形式 固定利率 | | | | | | | | 付息频率 到期一次还本付息 | | | | | | | | 发行日 2025 年 日-2025 年 8 | 8 | 月 | 4 | 月 | 5 日 | | | 起息日 2025 年 | 8 | 月 | 5 日 | | | | | 上市日 2025 年 | 8 | 月 | 8 日 | | | | | 2026 到期日 年 日 | 2 | 月 | 13 | | | | | 债券面 ...
知名券商资管,“撤回”公募牌照申请!
中国基金报· 2025-08-07 16:13
Core Viewpoint - Guangfa Asset Management has withdrawn its application for public fund management qualifications, indicating a tightening approval process in the public fund industry amid a focus on high-quality development [2][3]. Group 1: Regulatory Changes and Industry Context - The China Securities Regulatory Commission (CSRC) issued new regulations in May 2022, allowing securities firms to achieve "one participation, one control, one license" for public fund licenses, leading to multiple applications from securities firms [5]. - As of August 1, 2023, only Everbright Asset Management, Anxin Asset Management (now Guozhen Asset Management), and Guojin Asset Management are still in the queue for public fund licenses, while Guangfa Asset Management has exited the approval list [6]. Group 2: Guangfa Asset Management's Actions - Guangfa Asset Management submitted its application for public fund management qualifications in January 2023, which was accepted, but later withdrew its application [5][6]. - The company has been transitioning its public collective investment products to its controlling fund company, Guangfa Fund, in preparation for the deadline of December 2025 for the transformation of public collective investment products [9]. Group 3: Product Management and Changes - As of the second quarter of 2025, Guangfa Asset Management's public collective investment products had a total scale of 32.539 billion yuan, with over 90% being money market products [10]. - The company has submitted multiple product change applications, with several products expected to be renamed upon approval [10].
广发证券发行50亿元公司债券
Zhi Tong Cai Jing· 2025-08-07 11:56
广发证券(000776)(01776)发布公告,公司2025年面向专业投资者公开发行公司债券(第三期)发行时间 为2025年8月6日至2025年8月7日,其中品种一发行期限为3年,最终发行规模为39亿元,最终票面利率 为1.80%,认购倍数为1.73倍;品种二发行期限为5年,最终发行规模为11亿元,最终票面利率为1.88%, 认购倍数为2.33倍。 ...
广发证券(01776)发行50亿元公司债券
智通财经网· 2025-08-07 11:51
智通财经APP讯,广发证券(01776)发布公告,公司2025年面向专业投资者公开发行公司债券(第三期)发 行时间为2025年8月6日至2025年8月7日,其中品种一发行期限为3年,最终发行规模为39亿元,最终票 面利率为1.80%,认购倍数为1.73倍;品种二发行期限为5年,最终发行规模为11亿元,最终票面利率为 1.88%,认购倍数为2.33倍。 ...
广发证券:每手“22 广发 Y3”将于8月11日派息34.8元
Zhi Tong Cai Jing· 2025-08-07 11:50
广发证券(000776)(01776)公布,由公司发行的广发证券股份有限公司 2022 年面向专业投资者公开发 行永续次级债券(第三期)将于 2025 年 8 月 11 日支付 2024 年 8 月 11 日至 2025 年 8 月 10 日期间的利 息。 本期债券简称为"22 广发 Y3",发行规模为人民币 23 亿元, 票面利率为 3.48%,本次付息每手(面值 1000 元)"22 广发 Y3"派发利息人民币 34.80 元(含税)。 ...