Mizuho Securities, as a core company of the Mizuho Financial Group, aims to contribute to the creation and enhancement of the shareholder value of the group.
- Mizuho Securities maintains a proper risk management stance and allocates its managerial resources flexibly according to business conditions. We will work to maximize the value of our own corporation by becoming an organization capable of generating income in any operating environment.
- We are committed to establishing an effective corporate governance framework and disclosing information to investors in a proactive manner. In these ways, we seek to help raise value for Mizuho Financial Group shareholders and demonstrate our presence as a core member of the Group.