Core Viewpoint - The article emphasizes the commitment of the company to sustainable long-term value creation for investors, aligning with the recently released "Action Plan for Promoting High-Quality Development of Public Funds" which aims to reshape the industry ecosystem and prioritize investor interests [1] Group 1: Risk Management Framework - The company has established a comprehensive risk management system that balances daily management and crisis management, ensuring timely resolution of various investment risks [2] - A "three lines of defense" risk control system has been implemented, where investment personnel are responsible for the first line of defense, risk control and compliance personnel for the second, and audit personnel for the third, enhancing risk awareness and prevention [2] - The company has adopted a "3+3" management model focusing on market risk, credit risk, and liquidity risk, along with three risk assurance measures including new investment product evaluation and performance attribution [4] Group 2: Professional Capability - The company adheres to the philosophy that "risk management creates value," enhancing its professional risk management capabilities and improving the foresight of risk management processes [3] - The company has developed a robust investment risk management system that covers the entire investment risk lifecycle, from pre-investment to post-investment [3] Group 3: Technological Advancement - The company has been advancing towards a systematic, quantitative, and intelligent risk management approach since 2016, significantly improving risk management efficiency [5][6] - An intelligent risk control system has been developed, integrating applications, models, and data, and enhancing the company's risk management capabilities [6] Group 4: Collaborative Synergy - The company strengthens risk collaboration with its parent bank, China Construction Bank, leveraging shared resources and enhancing risk prediction capabilities [7] - Strategic cooperation with its second-largest shareholder, a major U.S. financial services firm, has been deepened to enhance professional capabilities in investment risk management [7] Group 5: Commitment to High-Quality Development - The company actively responds to the call for high-quality development in the industry, focusing on reforming its investment research system and optimizing product innovation [8][9] - Efforts are being made to enhance compliance culture and risk management capabilities, ensuring a robust risk management framework that protects investor assets [9][10]
建信基金:筑牢风险防控屏障 护好百姓资产安全
Zhong Guo Jin Rong Xin Xi Wang·2025-12-31 03:32