Guosen Securities Co., Ltd., commonly referred to as Guosen Securities, is a prominent player in the financial services industry, headquartered in China (CN). Established in 1994, the firm has grown to become a leading securities company, with a strong presence in major operational regions across the country. Specialising in a range of services including brokerage, asset management, and investment banking, Guosen Securities distinguishes itself through its innovative financial solutions and commitment to client service. The company has achieved significant milestones, positioning itself as a trusted partner for both individual and institutional investors. With a robust market position, Guosen Securities has garnered recognition for its comprehensive product offerings and strategic insights, making it a key contributor to the evolving landscape of China's financial markets.
How does Guosen Securities's carbon action stack up? DitchCarbon scores companies based on their carbon action and commitment to reducing emissions. Read about our methodology to learn more.
Mean score of companies in the Financial Intermediation industry. Comparing a company's score to the industry average can give you a sense of how well the company is doing compared to its peers.
Guosen Securities's score of 25 is higher than 66% of the industry. This can give you a sense of how well the company is doing compared to its peers.
In 2023, Guosen Securities reported total carbon emissions of approximately 33,984,950 kg CO2e, which includes 765,620 kg CO2e from Scope 1 emissions and 33,219,330 kg CO2e from Scope 2 emissions. Additionally, the company recorded Scope 3 emissions of about 10,745,150 kg CO2e. This data highlights the significant impact of their operational activities, particularly in Scope 2, which encompasses indirect emissions from purchased electricity. Despite the substantial emissions figures, Guosen Securities has not disclosed any specific reduction targets or initiatives aimed at decreasing their carbon footprint. The absence of documented climate pledges or science-based targets suggests that while the company is aware of its emissions, it may not yet have formalised commitments to reduce them in line with global climate goals. Overall, Guosen Securities's emissions profile reflects the challenges faced by financial institutions in managing their carbon impact, particularly in the context of investment activities, where the carbon intensity is reported at 0.0083 CNY per unit of revenue. As the company continues to navigate its environmental responsibilities, further transparency and commitment to reduction strategies will be essential for aligning with industry standards and climate expectations.
Access structured emissions data, company-specific emission factors, and source documents
2023 | |
---|---|
Scope 1 | 765,620 |
Scope 2 | 33,219,330 |
Scope 3 | 10,745,150 |
Companies disclose and commit to reducing emissions to show they are serious about reducing emissions impact over time. They can also help a company track its progress over time.
Guosen Securities is not participating in any of the initiatives that we track. This may change over time as the company engages with new initiatives or updates its commitments. DitchCarbon will update this information as it becomes available.