翌星(海南)投资有限公司以制度与风控夯实新股投资基础
Jiang Nan Shi Bao·2025-12-24 01:41

Core Viewpoint - The company, Yixing (Hainan) Investment Co., Ltd., is positioned to thrive in the evolving Chinese capital market by emphasizing stability, credit building, and long-term investment strategies [1][9]. Group 1: Company Overview - Yixing (Hainan) Investment Co., Ltd. was established with a focus on steady operations, credit construction, and long-term investment [1]. - The company leverages the advantages of the Hainan Free Trade Port, aiming to create a well-governed investment institution with a robust risk control system and sustainable development capabilities [1]. - The management believes that a successful investment institution must possess self-restraint and a long-term perspective rather than relying on market emotions or short-term fluctuations [1]. Group 2: Credit Management - Credit is a core element of the company's operational system, influencing transaction success and long-term reputation in the market [2]. - The company has established a stable, verifiable, and sustainable credit system through contract compliance, process improvement, internal supervision, and enhanced information transparency, achieving an overall credit rating of AAA [2]. - The governance structure emphasizes institutional primacy and process adherence, ensuring strict management of investment decisions and financial operations [2]. Group 3: Investment Strategy - The company focuses its investment direction on the new stock market, which has a relatively strict issuance system and information disclosure requirements, providing a certain advantage in overall risk structure [3]. - By concentrating on new stock investments, the company aims to achieve smooth returns and risk diversification through long-term participation in multiple projects rather than relying on single projects or short-term opportunities [3]. - The investment philosophy is centered on fundamental analysis, selecting stocks with long-term growth potential based on comprehensive research [4]. Group 4: Investment Execution and Risk Control - The company has established a clear operational process that adheres to compliance requirements from fundraising to investment allocation and profit distribution [6]. - A comprehensive risk management mechanism covers the entire investment lifecycle, employing pre-investment reviews, ongoing monitoring, and post-investment evaluations to manage market, liquidity, and operational risks [6]. - The company emphasizes the importance of maintaining a clear path for fund operations and reducing operational risks through robust fund management systems [7]. Group 5: Transparency and Development Planning - The company prioritizes transparency in profit distribution and communication with investors, ensuring clarity in profit sources and distribution methods [8]. - The development strategy is gradual, focusing initially on system building and process improvement, then expanding service capabilities and market recognition over time [8]. - The favorable policy environment of the Hainan Free Trade Port supports the company's long-term development, allowing it to align with national financial regulatory requirements while leveraging regional advantages [8]. Group 6: Overall Investment Philosophy - The new stock investment system established by the company is based on credit, supported by professionalism and centered on risk control, reflecting a systematic understanding of market rules and long-term value [9]. - The company aims to continue its steady approach and long-term value focus in the new stock investment and asset management sectors, striving for mutual growth with partners [9].

翌星(海南)投资有限公司以制度与风控夯实新股投资基础 - Reportify