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证监会:将深化创业板改革,持续推动科创板改革落实落地
Xin Hua Wang· 2026-01-30 13:29
中国证监会主席吴清1月30日表示,要紧紧围绕防风险、强监管、促高质量发展的工作主线,全力 巩固资本市场稳中向好势头,聚焦持续深化资本市场投融资综合改革、提高制度包容性适应性,抓紧推 出深化创业板改革,持续推动科创板改革落实落地,提高再融资制度便利性、灵活性和吸引力。 证监会资料图 吴清是在证监会召开的资本市场"十五五"规划上市公司座谈会上作出上述表示的。他还称,要促进 北交所、新三板一体化高质量发展,增强多层次市场覆盖面和辐射力,更加有力有效支持现代化产业体 系建设和新质生产力发展,积极服务"十五五"发展目标和金融强国建设。 吴清表示,证监会将全面、深刻、准确领会和把握党的二十届四中全会重要部署,加强对"十五 五"时期资本市场改革发展稳定重大问题的研究,把战略需要和实践可能统一起来,把市场所需和监管 所谋统一起来,高质量编制和实施好资本市场"十五五"规划。(记者刘羽佳、刘慧) 【纠错】 【责任编辑:谷玥】 ...
吴清:全力巩固资本市场稳中向好势头
证券时报· 2026-01-30 12:01
为深入学习贯彻党的二十届四中全会有关部署和习近平总书记在省部级主要领导干部 专题研讨班开班式上的重要讲话精神,科学谋划"十五五"时期资本市场发展主要目 标、战略任务和重点举措,1月30日证监会党委书记、主席吴清在北京召开座谈会, 与部分境内外上市公司代表深入交流,充分听取意见建议。证监会党委委员、副主席 李超参加座谈。 座谈中,大家围绕如何做好资本市场"十五五"规划、提高制度包容性适应性、提高上市公司质量和投 资价值等提出了具体意见建议。主要包括:持续优化发行上市制度规则,更好适配新兴产业、未来产 业发展和传统产业转型升级需求;提升上市公司再融资效率,更好激活并购重组市场活力;更大力度 培育耐心资本和推动中长期资金入市,更好匹配产业发展的长周期需求;完善上市公司分红回购和激 励约束机制,督促上市公司进一步提升规范运作和信息披露水平;加大对上市公司全球化发展的政策 支持,助力培育世界一流企业;等等。 吴清表示,证监会将全面、深刻、准确领会和把握党的二十届四中全会重要部署,加强对"十五五"时 期资本市场改革发展稳定重大问题的研究,把战略需要和实践可能统一起来,把市场所需和监管所谋 统一起来,高质量编制和实施好资本 ...
吴清,最新发声
财联社· 2026-01-30 11:54
据证监会网站,为深入学习贯彻党的二十届四中全会有关部署和习近平总书记在省部级主要领导干部专题研讨班开班式上的重要讲话精神,科学谋 划"十五五"时期资本市场发展主要目标、战略任务和重点举措,1月30日证监会党委书记、主席吴清在北京召开座谈会,与部分境内外上市公司代表 深入交流,充分听取意见建议。证监会党委委员、副主席李超参加座谈。 座谈中,大家围绕如何做好资本市场"十五五"规划、提高制度包容性适应性、提高上市公司质量和投资价值等提出了具体意见建议。主要包括:持续 优化发行上市制度规则,更好适配新兴产业、未来产业发展和传统产业转型升级需求;提升上市公司再融资效率,更好激活并购重组市场活力;更 大力度培育耐心资本和推动中长期资金入市,更好匹配产业发展的长周期需求;完善上市公司分红回购和激励约束机制,督促上市公司进一步提升 规范运作和信息披露水平;加大对上市公司全球化发展的政策支持,助力培育世界一流企业;等等。 吴清表示,证监会将全面、深刻、准确领会和把握党的二十届四中全会重要部署,加强对"十五五"时期资本市场改革发展稳定重大问题的研究,把战 略需要和实践可能统一起来,把市场所需和监管所谋统一起来,高质量编制和实施好 ...
证券公司学习宣传贯彻党的二十届四中全会精神 | 中泰证券党委书记、董事长王洪:锚定金融强国目标 坚守国企使命本色
编者按 当前,资本市场改革持续深化,证券行业正处在乘势而上、建设一流投资银行和投资机构的关键战略机 遇期,学习、宣传、贯彻党的二十届四中全会精神是当前和今后一个时期的重要政治任务。为此,中国 证券报联合中国证券业协会推出"证券公司学习宣传贯彻党的二十届四中全会精神"系列专题报道,聚焦 证券公司在强化功能发挥、提升专业能力、推进差异化发展、筑牢合规风控底线、厚植行业文化底蕴等 方面的实践探索与丰硕成果,生动展现证券公司作为资本市场重要践行者、改革排头兵、服务主力军的 责任担当与时代作为。本篇为系列报道第十七篇。 泰山不让土壤,故能成其大。作为山东省唯一省属骨干国有券商,中泰证券(600918)扎根齐鲁大地、 深耕资本市场,其发展历程镌刻着时代印记与实干足迹。二十余载砥砺前行,公司始终与国家发展同 频、与区域振兴共振,从蹒跚起步到深耕细作,从蓄力赋能到领跑争先,在岁月淬炼中坚守金融初心, 在时代浪潮中践行国企担当。 站在"十五五"开局的历史节点,面对党的二十届四中全会擘画的金融强国建设宏伟蓝图,中泰证券正以 初心为舵、以实干为帆,奋力驶向高质量发展的新航程。近日,中泰证券党委书记、董事长王洪在接受 中国证券报记者 ...
国新证券党委书记、董事长张海文:财富零售业务应为民而行 践行“四个使命担当”
Core Viewpoint - The company emphasizes the importance of aligning its development with national strategies and enhancing the wealth retail business to serve the public and improve residents' asset allocation [1][2]. Group 1: Four Mission Responsibilities - The company aims to translate the "Four Mission Responsibilities" into actionable strategies, focusing on serving the real economy and enhancing residents' financial well-being [2][3]. - The wealth retail business is positioned as a "translator" and "connector" to make complex economic trends understandable for clients, guiding them towards quality assets [3][4]. - A comprehensive service system is being developed to better serve investors, ensuring clear communication of product risks and strategies [3][6]. Group 2: Digital Transformation and Talent Development - The company is committed to enhancing service capabilities through digital transformation and talent development, utilizing AI and big data to better understand client needs [4][7]. - A dual approach of digital tools and talent cultivation is being implemented to improve service efficiency and client engagement [7][8]. Group 3: Open Market and Global Asset Allocation - The wealth retail business is focusing on enhancing service transparency and cross-market capabilities, facilitating clients' participation in global asset allocation [4][8]. - The company is actively researching investment channels like Hong Kong Stock Connect and QDII to educate clients on market differences and risks [8][10]. Group 4: Commitment to Investor-Centric Services - The company is dedicated to building trust with investors through transparent information disclosure and consistent risk management practices [10][11]. - The goal is to enhance investors' sense of security and satisfaction while contributing to the stability of the capital market [11].
财富零售业务应为民而行 践行“四个使命担当”
● 本报记者 徐昭 赵中昊 把握"四个使命担当"核心内涵 ■ "证券公司学习宣传贯彻党的二十届四中全会精神"系列报道 国新证券党委书记、董事长张海文: 财富零售业务应为民而行 践行"四个使命担当" 舟行万里,操之在舵;金融为民,固本在实。作为脱胎于老牌证券公司、融入中国国新央企生态的券 商,国新证券深谙"国之大者",其发展脉搏始终与国家战略同频共振。在金融强国建设的新航程上,如 何将宏观使命转化为微观实践,让资本市场发展成果惠及万千投资者,成为其思考的核心。近日,国新 证券党委书记、董事长张海文接受了中国证券报记者专访,阐述了公司以财富零售业务为支点,践 行"四个使命担当"的思考与路径。 张海文表示,党的二十届四中全会着眼于中国式现代化全局,对金融强国建设和资本市场高质量发展作 出重大部署,同时强调要多渠道增加城乡居民财产性收入。证监会主席吴清在中国证券业协会第八次会 员大会上,更明确要求行业强化"四个使命担当"——服务实体经济和新质生产力发展、更好服务投资者 并助力居民优化资产配置、加快建设金融强国、促进高水平制度型开放。 "资本市场必须发挥好投资和融资相协调的功能作用,将发展成果更多更公平惠及广大投资者。 ...
广东恒健资产: 为推进金融强国建设和中国式现代化大局贡献力量
● 本报记者 王宇露 党的二十届四中全会系统谋划了以中国式现代化全面推进强国建设、民族复兴的宏伟蓝图,并对金融工 作提出了加快建设金融强国等战略要求。金融是国民经济的血脉,金融强国之"强",不仅在规模与体 量,更在于其服务实体经济、促进科技创新、支撑产业升级的核心功能,关系中国式现代化建设全局。 作为广东省国有资本运营公司旗下的基金投资平台,广东恒健资产管理有限公司将学习贯彻全会精神作 为当前和今后一个时期的首要政治任务,自觉以"服务国家战略,赋能产业升级"为根本遵循,将公司发 展置于"十五五"的历史方位与战略全局中谋划,努力为助推广东省现代化产业体系高质量发展,为金融 强国建设和中国式现代化大局贡献专业力量。 全力服务现代化产业体系建设 二是深入研究驱动,推动投资转向战略引领。通过深入对接行业主管部门、产业联盟、高校及行业协 会,系统开展产业链研究,掌握企业现状和行业发展趋势,挖掘重点项目和典型应用场景,形成研究报 告、绘制产业图谱、建立项目储备库,精准把握技术趋势与投资方向,变"机会投资"为"战略布局",为 支持技术攻关奠定坚实基础。 二是锚定链主企业,以高质量投资驱动产业升级。在产业体系从"大而全"迈向 ...
为推进金融强国建设和中国式现代化大局贡献力量
四是精准招引重大项目,服务地方产业布局。针对广东省各地市产业发展需求,恒健资产精准引入"大 项目"服务地市开展"大招商、招大商",通过基金招引模式,精准引入对产业链强链延链补链具有关键 意义的重大项目。恒健资产联合头部银行AIC组建了两个百亿级的广东战略性产业促进发展基金,与省 内十余个地市建立常态化项目对接机制。截至目前,已通过基金完成帮助企业收购上市公司实控权、引 入央企资源投资广东省"百千万工程"等项目,落地项目约30亿元。 ● 本报记者 王宇露 党的二十届四中全会系统谋划了以中国式现代化全面推进强国建设、民族复兴的宏伟蓝图,并对金融工 作提出了加快建设金融强国等战略要求。金融是国民经济的血脉,金融强国之"强",不仅在规模与体 量,更在于其服务实体经济、促进科技创新、支撑产业升级的核心功能,关系中国式现代化建设全局。 作为广东省国有资本运营公司旗下的基金投资平台,广东恒健资产管理有限公司将学习贯彻全会精神作 为当前和今后一个时期的首要政治任务,自觉以"服务国家战略,赋能产业升级"为根本遵循,将公司发 展置于"十五五"的历史方位与战略全局中谋划,努力为助推广东省现代化产业体系高质量发展,为金融 强国建设和 ...
证券公司学习宣传贯彻党的二十届四中全会精神 | 西南证券党委书记、董事长姜栋林:深学笃行 绘就公司高质量发展新蓝图
Group 1: Core Insights - The article emphasizes the importance of the 20th National Congress of the Communist Party of China in guiding the development of the financial sector and capital markets, highlighting the need for securities firms to focus on their core responsibilities and enhance governance [1] - Southwest Securities is positioned as a key player in the capital market, aiming to achieve a leading status in the western region and nationwide, while enhancing its professional capabilities and service quality [2][3] Group 2: Financial Performance - As of September 30, 2025, Southwest Securities reported a revenue of 2.518 billion yuan, a year-on-year increase of 42.75%, and a net profit attributable to shareholders of 706 million yuan, up 46.11% [3] - The company has significantly expanded its service to the real economy, with a total service scale exceeding 80.4 billion yuan, representing a growth of approximately 20%, and services to the Chongqing economy exceeding 20 billion yuan, up 120% [4] Group 3: Strategic Initiatives - Southwest Securities has established a strategic cooperation framework with 38 local governments and 32 key state-owned enterprises in Chongqing, implementing tailored services for over 50 listed companies [5] - The company has launched a 1.5 billion yuan strategic investment fund to support the Chengdu-Chongqing economic circle, demonstrating its commitment to regional development [4] Group 4: Digital Transformation and Professional Development - The firm is advancing its digital transformation through top-level design and application, achieving significant improvements in service efficiency and customer experience [8] - Southwest Securities is enhancing its professional capabilities across various business lines, focusing on wealth management, asset management, and investment banking, with notable growth in margin financing clients and bond underwriting [7] Group 5: Compliance and Risk Management - The company is implementing a comprehensive risk management system to ensure compliance and operational stability, conducting 344 compliance training sessions in 2025 to promote a culture of compliance [10][11] - Southwest Securities is developing a new generation of risk management platforms to enhance its risk identification and monitoring capabilities [11] Group 6: Cultural and Ethical Development - The firm is integrating its corporate culture with its operational strategies, emphasizing values such as integrity, stability, precision, and innovation, while fostering a culture of long-term value creation for clients and stakeholders [13] - Southwest Securities has established a "Clean Culture" brand, recognized within the Chongqing financial system, to promote ethical practices and compliance across its operations [12][13]
金融行业周报:降息降准仍有空间,宁波兴业25年营收回暖-20260126
Ping An Securities· 2026-01-26 01:49
Investment Rating - The report maintains a "Strong Buy" rating for Ningbo Bank and Industrial Bank, expecting their stock prices to outperform the CSI 300 Index by over 20% within the next six months [38]. Core Insights - The People's Bank of China (PBOC) Governor Pan Gongsheng indicated that there is still room for interest rate cuts and reserve requirement ratio (RRR) reductions, with a commitment to continue a moderately loose monetary policy in 2026 [9][10]. - Ningbo Bank reported a year-on-year revenue growth of 8.01% and a net profit growth of 8.13% for 2025, with significant increases in intermediary business income by 30.72% and total assets growing by 16.11% [12]. - Industrial Bank's revenue and net profit showed slight increases of 0.24% and 0.34% respectively, with total assets surpassing 11 trillion yuan and a stable non-performing loan (NPL) ratio of 1.08% [12][13]. - The report highlights a recovery in bank holdings by active management funds, with a slight increase in the proportion of bank sector holdings to 1.06%, indicating potential for further investment [22]. Summary by Sections Monetary Policy - Pan Gongsheng emphasized the need for a flexible and effective use of monetary policy tools, including interest rate cuts and RRR reductions, to ensure liquidity remains ample and aligns with economic growth expectations [9][10]. Bank Performance - Ningbo Bank's strong performance is characterized by a low NPL ratio of 0.76% and a high provision coverage ratio of 373%, indicating robust risk management [12]. - Industrial Bank's performance is stable, with a focus on maintaining asset quality and a solid provision coverage ratio of 228% [12][13]. Market Trends - The banking sector saw a slight increase in active fund holdings, suggesting a potential recovery in investor confidence and interest in bank stocks [22]. - The report notes that the banking, securities, insurance, and fintech indices experienced declines, with the banking index down by 2.70% [23].