Our Offerings

CIMB Securities Sdn Bhd, formerly known as KAF Equities Sdn Bhd, established in 1972 and is a subsidiary of KAF Seagroatt & Campbell Bhd, the oldest stockbroking financial institution headquartered in Malaysia. Over 50 years of experience, it excels in brokerage and investment services, earning a reputation for reliability and expertise in the field of financial services.

 

Embarking on the transformative journey with the strategic divestment of CIMB Group’s subsidiary's stake in CGS-CIMB Securities Sdn Bhd to China Galaxy International Financial Holdings Ltd, this move set the stage for the institution's transformation and marked the beginning of a new era. On 8 February 2024, CIMB Investment Bank Berhad proudly announced the completion of KAF Equities Sdn Bhd's acquisition. With this, CIMB Securities Sdn Bhd aims to strengthen its position, continuing to provide exceptional financial services under the supervision of the Securities Commission Malaysia.

 

Following the strategic acquisition, CIMB Securities, now a subsidiary of CIMB Investment Bank Berhad, an institution supported by seasoned and professional sales and research team, positions itself as a formidable player in the financial services sector. CIMB Securities ensures comprehensive global reach via strengthening its financial capabilities through strategic partnerships.

 

CIMB Securities is committed to providing comprehensive and cutting-edge financial solutions to its diverse clientele base, leveraging on technology to pioneer advancements in Malaysia’s financial landscape.

Meet Our People

 

Board Members

 

Management Team

 

Ruzi Rani Ajith

Chief Executive Officer

 

 

 

Paul Gui Eng Hock

Managing Director, Operations

 

 

 

Liew Kuo Aun

Managing Director, Institutional Sales

 

 

 

Ivy Ng

Head of Equities Research

 

 

Product and Services

 

  • Stockbroking Services

Facilitating buying and selling of stocks and other securities on behalf of clients.

 

  • Research Report Production

Conducting research and analysis on various stocks and industries to provide insights for clients.

 

  • Trading

Executing trades on behalf of clients in accordance with their instructions and market conditions.

 

  • Investment Advisory

Providing advice and recommendations to clients on investment opportunities in the stock market. 

 

  • Corporate Access

Facilitating interactions between corporate clients and investors, including arranging roadshows, conferences, and meetings to enhance communication and foster relationships.

 

  • Compliance and Regulatory

Ensuring compliance with relevant laws, regulations, and industry standards governing stockbroking activities. 


For more information, please contact us

 

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