Core Viewpoint - The article highlights the significant achievements and strategic direction of China Galaxy Financial Holdings Co., Ltd. (Galaxy Financial Holdings) over its 20 years of operation, emphasizing its role in supporting China's financial reform and development, as well as its commitment to high-quality development and risk management [1][2]. Group 1: Company Development and Achievements - Over the past 20 years, Galaxy Financial Holdings has evolved alongside China's capital market, achieving notable milestones such as the successful A+H share listing of New Galaxy Securities and the transformation of its problem assets into specialized investment institutions [2][3]. - The company has established a comprehensive business structure encompassing securities, non-performing assets, public funds, and private equity, contributing to the preservation and appreciation of state-owned assets [2][3]. Group 2: Political Leadership and Party Building - Galaxy Financial Holdings emphasizes the integration of political leadership into its corporate governance, ensuring that the principles of the Communist Party guide its operations and decision-making processes [3][4]. - The company has implemented strict measures for party governance and anti-corruption, fostering a culture of integrity and accountability within its operations [3][4]. Group 3: Financial Services and Risk Management - The company has established a service framework that channels resources into key national strategic areas, effectively supporting the real economy and addressing financial risks [5][6]. - Galaxy Financial Holdings has successfully managed over 70 billion yuan in risk mitigation projects since its establishment, focusing on areas such as real estate, local debt reduction, and corporate restructuring [5][6]. Group 4: Future Strategic Development - The company aims to enhance its core business by focusing on asset value reconstruction and providing comprehensive financing services throughout the lifecycle of enterprises, from startup equity investment to crisis management [6][7]. - Galaxy Financial Holdings is committed to developing a specialized asset management approach, emphasizing a light asset model and differentiated strategies in its non-performing asset sector [6][7]. Group 5: Risk Control and Compliance - The company has established a robust risk management framework that includes a comprehensive risk control system and a focus on asset allocation and risk limit management [7][8]. - Galaxy Financial Holdings promotes a culture of compliance, ensuring that all operations adhere to strict regulatory standards and internal controls to support sustainable development [8].
为实体企业提供全生命周期优质金融服务