002500.SZ
002500.SZ
CNE100000WJ0
SHANXI SECURITIES
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Company Profile

Shanxi Securities Co., Ltd. operates as a securities company in China. The company operates through five segments: Wealth Management, Corporate Finance, Asset Management, Investment, and Institutional Business. The Wealth Management segment is involved in securities brokerage, investment advisory, sale of financial products developed by the company, and other financial institutions, financing. This segment also offers custody and operation outsourcing services for various private equity products, such as securities lending, equity pledge, repurchase agreements, asset allocation, and wealth planning. The Corporate Finance segment engages in the investment banking, NEEQ business, corporate services, private equity investment, and alternative investment. The Asset Management segment provides equity products and mutual funds, as well as fixed income. The Investment segment is involved in the fixed income, proprietary equity trading, and commodities, and currency trading. The Institutional Business segment engages in the research and sales trading, institutional client services, and other businesses. In addition, it is involved in margin trading, public fund management business, entrusted investment business, trade finance business, future business, derivatives business, and over-the-counter trading comprising income certificates and customer services; and provision of software and information technology services. Shanxi Securities Co., Ltd. was incorporated in 1988 and is headquartered in Taiyuan, China.

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Key Metrics & Overview

Detailed metrics & financial data of the company

Company Profile
5 Metrics

🛡️ Risk & Structural Analysis

Multi-Factor Risk Model & Market Data

7/7 Very High
5Y Volatility
27.9% p.a.
Max Drawdown (5Y)
-36.0%
Sharpe Ratio (5Y)
-0.26
Beta Factor
0.52
Size Class
Large Cap
Notes & Warnings
Single Stock Risk: Investing in an individual stock carries full company and insolvency risk (no fund diversification).
Critical leverage: Debt-to-Equity is at 232%.
Structurally High Volatility: Above-average fluctuations persist across 5 to 10 years (27.9% p.a.).
Historical Stress Test: Maximum peak-to-trough drawdown of -68.5% in the extended horizon.
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