Joke Collection Website - Blessing messages - What should I do if there is a major risk warning announcement in the stock?
What should I do if there is a major risk warning announcement in the stock?
What is the purpose of listed companies to announce the specific situation of abnormal fluctuations in stock trading, but some people who are willing to take greater risks will continue to hold them. Shares are part of the capital of a joint-stock company and can be transferred, traded or mortgaged at a fixed price. It is the main long-term credit tool in the capital market, but the company cannot be required to return its capital contribution. Each stock in the same category represents the equal ownership of the company. The share of ownership of the company owned by each shareholder depends on the proportion of shares held by each shareholder to the total share capital of the company.
According to the regulations of the Shanghai and Shenzhen Stock Exchanges, there is abnormal fluctuation in trading, and the relevant parties of trading ownership temporarily suspend stock trading after making an announcement until the resumption of trading in the afternoon.
Such announcements are stipulated by the China Securities Regulatory Commission and part of the information disclosure system. Not all companies are willing to disclose from the heart. Of course, some of them are positive, or the price fluctuation caused by non-violation behaviors exceeds a certain fluctuation, such as 20%. At this time, the company itself is willing to disclose.
1, after the opening of new shares, if the price rises or falls by more than 20% for the first time (relative to the opening price), trading will be suspended for half an hour.
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2. After the opening of new shares, if the price rises or falls by more than 50% for the first time, it will be closed for half an hour.
3. After the opening of new shares, if the price rises or falls by more than 80% for the first time, the trading will be suspended to 14: 57.
The China Securities Association recently issued the Detailed Rules for Account Management, which intends to allow brokers and securities investment consulting institutions to engage in account management business. The insiders believe that value analysis or investment judgment on the investment or transaction of securities, funds, futures and related financial products can improve the service level of securities operating institutions, while the policy explicitly prohibits financial management on behalf of customers, so investors are increasingly expecting professional teams to provide financial services.
It is difficult to pay the investment income according to the contract. In this context, the purpose of providing targeted financial services to customers has been achieved. Second, investment needs to be turned into asset management posts, and the proportion of transaction commission in brokerage income will continue to decline, replaced by the increase of interest income and asset management income of financing business represented by the two financing companies. Once the policy is implemented, once the policy is implemented,
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