GF Securities Co (000776.SZ) Osake Kurssi
GF Securities Co Kurssi
Liikevaihto on kasvanut 37,0 % vuodessa viimeisten 19 vuoden aikana 34,09 Mrd. CNY:een. Osakekohtainen tulos on kasvanut 23,5 % vuodessa viimeisten 19 vuoden aikana. GF Securities Con nettomarginaali on nyt 40,2 %, noussut 26,1 %:sta muutama vuosi sitten. GF Securities Con osinkotuotto on tällä hetkellä noin 2,59 %. Jakosuhde on noin 28 % tuloksesta. Osinko on kasvanut 5,1 % vuodessa viimeisten 14 vuoden aikana. Analyytikoiden mediaanitavoitehinta on 28,21 CNY, eli yli nykyhintaa 46,0 %. 17 analyytikosta 14 suosittaa ostoa — kokonaiskonsensus on Osta.
GF Securities Co osakekurssi
GF Securities Co liiketoimintamalli ja osakeanalyysi
Usein kysytyt kysymykset GF Securities Co -osakkeesta
GF Securities Co Ltd is a leading financial institution with a diverse business model. The core aspects of GF Securities' business model encompass providing comprehensive financial services to institutional and retail clients, including securities brokerage, investment banking, asset management, and financial market-related services. As one of the largest securities firms in China, GF Securities Co Ltd strives to facilitate capital markets development by offering innovative products and solutions tailored to clients' needs. By maintaining a strong presence in various financial segments, GF Securities Co Ltd aims to maximize value for investors while fostering sustainable growth in the industry.
GF Securities Co Ltd is primarily active in the financial services industry.
The main competitors of GF Securities Co Ltd in the market include China International Capital Corporation Limited (CICC), CITIC Securities Co Ltd, and Haitong Securities Co Ltd.
GF Securities Co. Ltd. is a renowned Chinese financial institution with a rich history and background. Established in 1991, GF Securities has grown into a leading integrated securities firm in China. Over the years, it has successfully expanded its services to encompass brokerage, investment banking, asset management, and more. The company is headquartered in Guangzhou, China, and has a solid presence both domestically and internationally. By offering comprehensive financial solutions to a diverse client base, GF Securities has earned a strong reputation as a trusted and reliable partner in the financial industry. With its commitment to innovation and customer-centric approach, GF Securities continues to flourish and contribute significantly to the global financial market.
GF Securities Co Ltd, a leading Chinese investment bank, has achieved several significant milestones. Over the years, the company has consistently expanded its market presence and diversified its business portfolio. One notable achievement is its successful listing on the Hong Kong Stock Exchange in 2015, which further strengthened its position in the global financial market. Additionally, GF Securities Co Ltd has continually demonstrated its commitment to innovation, pioneering the development of internet finance and embracing various technological advancements. Furthermore, the company has received recognition for its exceptional performance, having been ranked among the top investment banks in China. These remarkable milestones highlight GF Securities Co Ltd's growth, resilience, and dedication to delivering quality financial services.
GF Securities Co Ltd is primarily present in China.
GF Securities Co Ltd is a leading financial institution that embodies strong values and a robust corporate philosophy. The company prides itself on integrity, professionalism, and innovation. With a commitment to providing comprehensive financial services, GF Securities Co Ltd believes in delivering exceptional value to its clients. By embracing cutting-edge technologies, the company seeks to stay ahead of the market and drive positive growth. GF Securities Co Ltd places great emphasis on building long-term relationships with clients, promoting reliability and trustworthiness. With a client-centered approach, the company strives to offer tailored solutions and superior investment opportunities. Overall, GF Securities Co Ltd represents integrity, professionalism, innovation, and client-centricity.
Analyytikot asettavat tällä hetkellä GF Securities Co-osakkeelle keskimääräisen tavoitehinnan 27,46 CNY (mediaani: 28,21 CNY), mikä merkitsee +42,1 % viimeisimpään hintaan verrattuna. Konsensus perustuu 17 analyytikkoarvioon.
17 analyytikkoa arvioi tällä hetkellä GF Securities Co-osaketta: 14 suosittaa ostoa, 3 pitoa ja 0 myyntiä. Vuodelle 2026 analyytikot odottavat GF Securities Co-yhtiöltä 47,19 Mrd. CNY liikevaihtoa ja 2,57 CNY osakekohtaista tulosta.
Nykyisellä valuuttakurssilla GF Securities Co-osake noteerataan hintaan 2,57 EUR (19,32 CNY).
GF Securities Co-osake (000776.SZ) on listattuna 1 pörssissä, muun muassa: Shenzhen (000776.SZ).
GF Securities Co. Ltd. is a leading investment bank in China that was founded in 1991. It is headquartered in Guangzhou and operates globally in the areas of investment banking, asset management, and brokerage. The company's business model is based on providing high-quality investment and financial services to its clients, including institutional investors, corporations, and households. One of GF Securities' main activities is investment banking. The company offers extensive advisory services for mergers and acquisitions (M&A), capital raising and restructuring, as well as strategic planning. Clients benefit from in-depth analysis of market conditions and comprehensive support in implementing their business strategies. Under the asset management division, GF Securities provides its clients with customized investment strategies and solutions. This includes investment funds, asset management products, and structured investments tailored to the individual needs and investment preferences of their clients. GF Securities' asset management strategies are characterized by thorough risk assessment, broad diversification, and long-term perspective. In the brokerage sector, GF Securities is one of the largest brokers in China. The company provides access to a wide range of financial instruments, including stocks, bonds, forex, and commodities. Clients benefit from fast and reliable trade execution, as well as extensive financial market analysis. In addition, GF Securities specializes in securities trading, particularly derivatives. This includes futures, options, and swaps that are customized for clients. The company has extensive risk management and stringent compliance to ensure it meets the highest standards in executing transactions and investments. Overall, GF Securities' business model is characterized by its broad diversification and extensive investment and financial solutions. The company strives to offer its clients a comprehensive portfolio of services while maintaining strict risk control and a compliance system. GF Securities focuses on long-term collaboration with its clients and continuous optimization of its services in investment banking, asset management, and brokerage.
odotettu liikevaihto GF Securities Co on 47,19 Mrd. CNY. Tämä luku perustuu nykyisiin talousarvoihin ja heijastaa yhtiön liiketoimintasuoritusta.
odotettu voitto GF Securities Co on 19,53 Mrd. CNY. Nettovoitto kuvastaa yhtiön kannattavuutta kaikkien kulujen vähentämisen jälkeen.
GF Securities Co:n hinta-voitto-suhde (P/E) on tällä hetkellä 7,52. P/E-suhde vertaa nykyistä osakekurssia osakekohtaiseen tulokseen ja auttaa sijoittajia arvioimaan GF Securities Co-osakkeen arvostusta.
GF Securities Co:n hinta-myynti-suhde (P/S) on tällä hetkellä 3,11. P/S-suhde vertaa markkina-arvoa vuosittaisiin tuloihin ja toimii GF Securities Co-osakkeen arvostuskennuslukuna.
GF Securities Co:n Eulpool-laatuscore on 3/10.
GF Securities Co:n ISIN on CNE0000008L2. ISIN (International Securities Identification Number) on maailmanlaajuisesti ainutlaatuinen arvopaperin tunnus.
GF Securities Co:n ticker on 000776.SZ. Tämä pörssinoteeraus käytetään GF Securities Co-osakkeiden kauppaan pörssissä.
GF Securities Co osake
GF Securities Co vertaisryhmä
GF Securities Co Ticker
GF Securities Co FIGI
Kaikki tunnusluvut ja syvällinen analyysi GF Securities Co:sta
Meidän osakeanalyysimme GF Securities Co-osakkeesta sisältää tärkeitä taloudellisia tunnuslukuja, kuten liikevaihdon, voiton, P/E-luvun, P/S-luvun, EBIT:n sekä tietoja osingosta. Lisäksi tarkastelemme asioita kuten osakkeet, markkina-arvo, velat, oma pääoma ja vastuut GF Securities Co:n yhteydessä. Jos etsit yksityiskohtaisempaa tietoa näistä aiheista, tarjoamme alisivuillamme kattavia analyysejä: