Kiek dividendų moka China Securities Co 2025?
Pagal paskutinę informaciją nuo Sausis 2025, China Securities Co per paskutinius 12 mėnesių mokėjo bendrą dividendą, kuris sudarė 0,25 CNY už akciją. Esant dabartiniam China Securities Co kursui 23,54 CNY, tai atitinka 1,06 % dividendų grąžą.
Dividendai mokami kartus per metus.
1,15 % Dividendo grąža | = | 0,27 CNY Dividendas | 23,54 CNY akcijų kaina |
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Ar China Securities Co dividendai yra saugūs?
China Securities Co kasmet didina dividendus jau 4 metus.
Per pastaruosius 9 metus China Securities Co kasmet 0 % sumažinta.
Per 5 metų laikotarpį augo išmokos padidėjo 8,447 %.
Analitikai prognozuoja, kad einamaisiais verslo metais Dividendų didinimas bus 2,259%.
China Securities Co Aktienanalyse
Ką daro China Securities Co?
China Securities Co Ltd is the leading investment bank in China and one of the largest in Asia. The company is based in Beijing and was established in 1991 as a joint venture between the China Association for the Promotion of Development and the Daiwa Securities Group.
In 2003, Citic Securities Company Limited acquired 50% of the shares in CS, leading to the reorganization of the company and the emergence of new business areas. Since then, CS has become a major player in the Chinese capital market and has become the largest broker for Chinese A-shares.
The business model of CS is built on three pillars: investment banking, securities trading, and asset management. These encompass a complete range of financial services that cover CS's business.
In the investment banking sector, CS provides its clients with advice and support for structuring corporate acquisitions and mergers, placement of equity issuances and bonds, as well as project financing of all kinds. CS is particularly important in the Chinese market as a partner for cross-border deals.
As the largest broker for Chinese A-shares, CS serves a variety of institutional and private investors in the securities trading sector. The expertise of the trading division enables CS's clients to quickly, reliably, and effectively respond to market developments. The company offers a variety of trading products and services, including stocks, funds, commodities, bonds, and futures.
In the asset management sector, CS offers its clients a wide range of financial products and services, including investment funds, structured products, asset management, asset consulting, and family office services. The company primarily serves affluent private clients and institutional investors.
CS offers a variety of products and services tailored to the individual needs of its clients. These include stocks (both Chinese A-shares and foreign stocks), bonds (with a leading role in placing Chinese government bonds on the international capital market), funds (covering different asset classes and geographical regions), structured products (customized to the specific needs of clients), and futures (trading on Chinese indices, precious metals, and industrial commodities).
In summary, China Securities Co Ltd is an important player in the Chinese capital market. The company is built on three pillars: investment banking, securities trading, and asset management, offering a wide range of financial products and services. CS provides individualized care to its clients and is a key partner for implementing cross-border deals. China Securities Co yra viena populiariausių įmonių Eulerpool.com svetainėje.Akcijų taupymo planai siūlo patrauklią galimybę investuotojams ilgalaikėje perspektyvoje kurti turtą. Vienas pagrindinių privalumų yra vadinamasis vidutinės išlaidos efektas: reguliariai investuojant fiksuotą sumą į akcijas arba akcijų fondus, automatiškai perkama daugiau dalinių vertybių popierių, kai kainos yra žemos, ir mažiau – kai jos aukštos. Tai gali lemti palankesnę vidutinę dalies kainą per laiką. Be to, akcijų taupymo planai suteikia galimybę ir smulkiesiems investuotojams patekti į brangias akcijas, nes jie gali dalyvauti jau su mažomis sumomis. Reguliarus investavimas taip pat skatina disciplinuotą investavimo strategiją ir padeda išvengti emociškai pagrįstų sprendimų, pavyzdžiui, impulsyvaus pirkimo ar pardavimo. Be to, investuotojai gauna naudos iš potencialaus akcijų vertės augimo bei iš dividendų, kurie gali būti reinvestuoti, kas sustiprina sudėtinio palūkanų efektą ir taip skatina investuoto kapitalo augimą.