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广发证券又一投研大将离任,全球首席经济学家沈明高到龄退休
Xin Lang Cai Jing· 2026-02-04 13:49
官网最新资料显示,广发证券成立于1991年,是国内首批综合类证券公司,先后于2010年和2015年在深 圳证券交易所及香港联合交易所主板上市。 分支机构方面,截至2024年末,广发证券旗下拥有广发期货有限公司、广发控股(香港)有限公司、广 发信德投资管理有限公司、广发乾和投资有限公司、广发证券资产管理(广东)有限公司、广发融资租 赁(广东)有限公司6家全资子公司,控股广发基金管理有限公司,参股易方达基金管理有限公司(并 列第一大股东);公司拥有356家分公司及营业部。 在加盟广发证券前,沈明高历任北京大学中国经济研究中心副教授,花旗银行(中国)有限公司首席经 济学家,花旗环球金融亚洲有限公司董事总经理、中国研究主管及大中华区首席经济学家等职务。 2017年6月,沈明高正式加入广发证券,先后出任董事总经理、首席经济学家,全球首席经济学家、产 业研究院院长。2019年至2021年,沈明高还兼任了广发控股(香港)有限公司总经理。 值得一提的是,这是广发证券近三个月流失的第二位投研大将。 2025年11月,原广发证券发展研究中心董事总经理、首席资产研究官,也是十届新财富最佳分析师的戴 康离职。一个月后,戴康履新招银理 ...
广发资管多添利六个月持有期债券型集合资产管理计划份额折算公告
为满足广大投资者的需求,有效加强对广发资管多添利六个月持有期债券型集合资产管理计划(以下简 称"本集合计划")的运作管理,管理人广发证券资产管理(广东)有限公司(以下简称"管理人")根据 《关于广发资管多添利六个月持有期债券型集合资产管理计划变更管理人并变更注册为广发多添利六个 月持有期债券型证券投资基金有关事项的议案》相关规定,拟对本集合计划进行份额折算(以下简 称"折算"),公告如下: 一、份额折算方案 (一)份额折算 本集合计划份额折算是在保持现有计划份额持有人资产总值不变的前提下,改变本计划单位净值和持有 份额的对应关系,重新列示集合计划资产的一种方式。 假设折算当日,某持有人在折算前持有本集合计划100,000份,折算前单位净值为0.9000元,持有人持有 的资产净值(资产净值=持有份额*单位净值)为90,000元;折算后,单位净值变为1.0000元,该持有人 持有份额变为90,000份,持有人持有的资产净值仍为90,000元。 (二)折算基准日(T日):2025年12月22日 (三)折算对象:折算基准日登记在册的本集合计划份额。 (四)折算方式 2025年12月22日,管理人将根据集合计划份额折算 ...
广发资管昭利中短债债券型集合资产管理计划份额折算公告
为满足广大投资者的需求,有效加强对广发资管昭利中短债债券型集合资产管理计划(以下简称"本集 合计划")的运作管理,管理人广发证券资产管理(广东)有限公司(以下简称"管理人")根据《关于 广发资管昭利中短债债券型集合资产管理计划变更管理人并变更注册为广发昭利中短债债券型证券投资 基金有关事项的议案》相关规定,拟对本集合计划进行份额折算(以下简称"折算"),公告如下: 2025年12月22日,管理人将根据集合计划份额折算比例对持有人折算基准日登记在册的计划份额实施折 算。折算后持有人集合计划份额数将按照折算比例相应变动,折算基准日本集合计划单位净值调整为 1.0000 元,折算公式为: 集合计划份额折算比例=折算基准日集合计划资产净值/折算基准日折算前登记在册的集合计划份额总数 折算后持有人集合计划份额数=折算前持有人集合计划份额×集合计划份额折算比例 折算后,持有人的计划份额保留到小数点后两位;集合计划份额折算比例保留到小数点后 9 位,采用循 环进位的方法分配因小数点运算引起的剩余份额。 一、份额折算方案 (一)份额折算 本集合计划份额折算是在保持现有计划份额持有人资产总值不变的前提下,改变本计划单位净值和持 ...
关于广发资管现金增利货币型集合资产管理计划暂停解约的公告
Group 1 - The core announcement states that Guangfa Securities Asset Management (Guangdong) Co., Ltd. will suspend the redemption services for the Guangfa Asset Management Cash Increase Currency Collective Asset Management Plan from December 11 to December 12, 2025, while subscription and redemption services for existing investors will continue as normal [1][4]. Group 2 - Investors can access relevant information through the management company's website (www.gfam.com.cn) or by calling the designated customer service number (95575) [2]. - The sales institution for this collective plan is Guangfa Securities Co., Ltd. [3].
关于广发资管现金增利货币型集合资产管理计划管理费适用费率调整 及恢复的公告
Group 1 - The announcement refers to a fund that has been modified according to the guidelines for asset management business by securities companies [1] - The fund is managed by GF Securities Co., Ltd., which will invest in money market instruments [2] - The estimated net income and annualized yield of the fund may fluctuate due to market volatility, and the manager reserves the right to adjust management fees accordingly [2] Group 2 - Investors can access relevant information through the management company's website or customer service hotline [1] - The announcement emphasizes that investing in the fund does not guarantee profits or minimum returns, and investors should carefully read legal documents before making investment decisions [3]
孙晓燕任广发资管董事长,身兼广发证券常务副总、财务总监
Sou Hu Cai Jing· 2025-11-04 06:53
Core Viewpoint - Guangfa Securities Asset Management announced a change in senior management, with Sun Xiaoyan set to become the chairman on October 31, 2025, following the departure of the former chairman, Qin Li [2] Group 1: Management Changes - Sun Xiaoyan has a long-standing career with Guangfa Securities, having worked in various departments since joining in July 1993, including the capital operations, accounting, and investment banking departments [3][4] - Sun Xiaoyan's previous roles include manager and deputy general manager of the accounting department, deputy general manager of the investment self-operation department, and financial director and deputy general manager of Guangfa Fund Management [4] - The former chairman, Qin Li, has been appointed as the general manager of Guangfa Securities since May 2024 [4] Group 2: Recent Executive Adjustments - Since 2025, Guangfa Asset Management has undergone a series of executive changes, including the retirement of CIO Jiang Rong in March and the appointment of Liu Yu as the new CIO in July [4][5] - Wang Hua, a deputy general manager, also left due to work arrangements in July [5] Group 3: Company Overview and Financials - Guangfa Asset Management, established on January 2, 2014, is a wholly-owned subsidiary of Guangfa Securities and the first broker-dealer asset management company in South China [6] - As of June 30, 2025, the net asset value managed by Guangfa Asset Management was 250.645 billion yuan, with specific asset management plans seeing a net value increase of 4.56% and 39.49% compared to the end of 2024, while collective asset management plans decreased by 8.85% [6]
广发证券资管任命孙晓燕为董事长 秦力离任
Zhong Guo Jing Ji Wang· 2025-11-03 08:13
孙晓燕自1993年7月至1997年5月先后在广发证券股份有限公司资金营运部、财会部及投资银行部工作; 自1997年5月历任广发证券股份有限公司财会部经理、副总经理,投资自营部副总经理;广发基金管理 有限公司(含筹建阶段)财务总监、副总经理;广发证券股份有限公司财务部总经理,公司副总经理; 广发控股(香港)有限公司董事。现任广发证券股份有限公司执行董事、常务副总经理、财务总监,广 发基金管理有限公司董事。 中国经济网北京11月3日讯 近日,广发证券(000776)资产管理(广东)有限公司公告,任命孙晓燕为 董事长,秦力离任。 ...
千亿资管公司换帅
中国基金报· 2025-11-03 08:02
【导读】广发资管换帅!孙晓燕出任董事长 近日, 广发证券资产管理(广东)有限公司(以下简称广发资管)发布高级管理人员变更公 告,宣布公司董事长职务发生变动。 孙晓燕女士新任公司董事长,秦力先生因工作安排不再担任董事长职务,相关职务任免自 2025 年 10 月 31 日起生效。 | 新任高级管理人员职务 | 重事长 | | --- | --- | | 新任高级管理人员姓名 | 孙晓燕 | | 任职日期 | 2025年10月31日 | | 过往从业经历 | 自 1993 年 7 月至 1997 年 5 月先后在广发证券股份 | | | 有限公司资金营运部、财会部及投资银行部工作; | | | 自 1997年5月历任广发证券股份有限公司财会部经 | | | 理、副总经理,投资自营部副总经理;广发基金管 | | | 理有限公司(含筹建阶段)财务总监、副总经理; | | | 广发证券股份有限公司财务部总经理,公司副总经 | | | 理;广发控股(香港)有限公司董事。现任广发证 | 校对:乔伊 制作:舰长 审核:许闻 版权声明 《中国基金报》对本平台所刊载的原创内容享有著作权,未经授权禁止转载,否则将追究法律责任。 授 ...
广发证券资产管理(广东)有限公司关于旗下集合资产管理计划(参照公募基金运作)2025年第三季度报告提示性公告
Core Viewpoint - The board of directors of GF Securities Asset Management (Guangdong) Co., Ltd. ensures that the quarterly report of the collective asset management plan contains no false records, misleading statements, or significant omissions, and they bear individual and joint responsibility for the authenticity, accuracy, and completeness of its content [1][2] Summary by Category - **Collective Asset Management Plans** - The following collective asset management plans have completed contract changes and are now effective: 1. GF Asset Management Qianli One-Year Holding Period Bond Collective Asset Management Plan 2. GF Asset Management Consumer Select Flexible Allocation Mixed Collective Asset Management Plan 3. GF Asset Management Zhaoli Short and Medium-Term Bond Collective Asset Management Plan 4. GF Asset Management Value Growth Flexible Allocation Mixed Collective Asset Management Plan 5. GF Asset Management Balanced Select One-Year Holding Mixed Collective Asset Management Plan 6. GF Asset Management Cash Increment Currency Collective Asset Management Plan 7. GF Asset Management Hongli Three-Month Rolling Holding Bond Collective Asset Management Plan 8. GF Asset Management Shengshi Select Mixed Collective Asset Management Plan 9. GF Asset Management Duotianli Six-Month Holding Period Bond Collective Asset Management Plan 10. GF Asset Management Core Select One-Year Holding Period Mixed Collective Asset Management Plan [1][2] - **Disclosure Information** - The full report of the ten collective asset management plans for the third quarter of 2025 will be disclosed on October 27, 2025, on the company's website and the China Securities Regulatory Commission's fund electronic disclosure website for investors to review [1][2] - **Management Commitment** - The management of the collective plans commits to managing and utilizing the assets of the collective plans with honesty, diligence, and responsibility, but does not guarantee profits or minimum returns [1]
关于调整广发资管现金增利货币型集合资产管理计划管理费适用费率公告
Core Points - The announcement pertains to the "fund" which refers to the securities company's collective asset management products that have been modified according to the operational guidelines of the asset management business [1] - The management fee will be restored to 0.90% once the specified conditions are met, and investors are advised to pay attention to future announcements from the management [1] Summary by Sections Basic Information - The announcement is related to the payment of returns for the "Guangfa Asset Management Cash Increase Money Market Collective Asset Management Plan" [6] - The estimated net return and the seven-day annualized estimated yield per ten thousand units of the collective plan may fluctuate due to market volatility [6] Other Relevant Information - Investors can access information through the management's website or customer service hotline [2][10] - The collective plan is sold by Guangfa Securities Co., Ltd. [11] - According to regulations, fund shares purchased on the same day will enjoy distribution rights from the next trading day, while redeemed shares will not [7] - When redeeming shares, the principal will be paid along with the corresponding returns on the monthly dividend day [8] - Monthly payments of returns will occur on the 10th of each month, with adjustments made if that day is a non-trading day [8] - If the cumulative untransferred returns are positive, they will be paid in cash or added to the fund shares; if negative, the management has the right to pursue payment from the investor [8]