UNIQUE BUSINESS IDENTIFIER / CRN
UBI 15526958
LiveLicensed Insurance IntermediarySFC Licence Ceased · ABV029Former Names (1)

CHIMAERA FINANCIAL GROUP LIMITED

Official Verification: 2026-09-19
Inquiries: 0 Views
Jurisdiction: Hong Kong, ChinaJurisdiction: Hong Kong

CHIMAERA FINANCIAL GROUP LIMITED is a Hong Kong corporation duly incorporated under the Companies Ordinance (Cap. 622). Its official Company Registration Number (CR No. / CRN) is 0293669, and Business Registration Number (BRN) is 15526958, classified as a Private company limited by shares. Incorporated on 1990-12-14, the entity has maintained continuous statutory operations for 35 years, currently holding an active legal status of Live. In terms of statutory licensing, the corporation is officially authorized and regulated in Hong Kong, currently holding Insurance Authority Licensed Insurance Intermediary (IA); it previously held Securities and Futures Commission (SFC) (Licence No. ABV029, Licence Ceased) (which has ceased and been de-registered). The registered office is situated at 24/F, ‍​​‌‌‌​​​​​‌‌​‌‌​​‌​​‌​​​​‌​​​​‌‌​​‌‌‌​‌​​​‌‌​​‌​​​‌‌​​​‌​​‌‌​‌‌​​​‌​‌‌‌​​​‌‌​‌‌‌​​‌‌​​‌‌​​‌‌‌​‌​​​‌‌​​‌​​​‌‌​‌‌​​​‌‌​​​​​​‌‌‌​​‌​​‌‌​​‌​​​‌‌​​​​​​‌‌‌​‌​​​‌‌​​‌‌​​‌‌​​‌​​​‌‌​‌‌‌​​‌‌​‌​​​​‌‌​‌‌‌​​‌‌​​‌‌​​‌‌​​‌‌LEE GARDEN, 33 HYSAN AVENUE, CAUSEWAY BAY, HONG KONG.

I. Corporate Profile & Historical SFC Licensing Status (Deregistered)

Official Chinese Name — (No Chinese name registered) Official English Name CHIMAERA FINANCIAL GROUP LIMITED
Business Reg No. (BRN) 15526958 Company Reg No. (CR / CRN) 0293669
Company Category Private company limited by shares Incorporation Date 1990-12-14
Current Legal Status Live Statutory Filing Cycle 2026-12-14
Registered Office Address
24/F, ‍​​‌‌‌​​​​​‌‌​‌‌​​‌​​‌​​​​‌​​​​‌‌​​‌‌‌​‌​​​‌‌​​‌​​​‌‌​​​‌​​‌‌​‌‌​​​‌​‌‌‌​​​‌‌​‌‌‌​​‌‌​​‌‌​​‌‌‌​‌​​​‌‌​​‌​​​‌‌​‌‌​​​‌‌​​​​​​‌‌‌​​‌​​‌‌​​‌​​​‌‌​​​​​​‌‌‌​‌​​​‌‌​​‌‌​​‌‌​​‌​​​‌‌​‌‌‌​​‌‌​‌​​​​‌‌​‌‌‌​​‌‌​​‌‌​​‌‌​​‌‌LEE GARDEN, 33 HYSAN AVENUE, CAUSEWAY BAY, HONG KONG
Significant Controllers (SCR) Pursuant to Part 12 Division 2A of Cap. 622, SCR registers are kept at the registered office. Penetration of ultimate beneficial owners (UBO) and offshore holding hierarchies available via comprehensive Due Diligence Report.
Name Evolution
(1 Former Name)
1990-12-14 Founding Incorp. Name
(巧仁有限公司)CHATYON LIMITED
2007-09-27 Current Legal Name
CHIMAERA FINANCIAL GROUP LIMITED

II. SFC Document Retrieval (Annual Return NAR1 / Articles / ND2A / CTC)

#Filing DateDocument No.Document NamePagesTariffAction
1 2025-12-19 70005258568
NAR1Annual Return (2025) (English)
2025-12-19·70005258568·12p·HK$ 28
12 HK$ 28
2 2024-12-31 70004280253
NAR1Annual Return (2024) (English)
2024-12-31·70004280253·12p·HK$ 28
12 HK$ 28
3 2024-12-31 70004280126
NR1Notice of Change of Address of Registered Office (English)
2024-12-31·70004280126·1p·HK$ 20
1 HK$ 20
4 2024-12-24 70004268873
ND2BNotice of Change of Company Secretary and Director (Particulars) (English)
2024-12-24·70004268873·3p·HK$ 20
3 HK$ 20
5 2024-6-27 70003848074
ND2BNotice of Change of Company Secretary and Director (Particulars) (English)
2024-6-27·70003848074·3p·HK$ 20
3 HK$ 20
6 2024-1-23 23202398690
NAR1Annual Return (2024) (English)
2024-1-23·23202398690·12p·HK$ 28
12 HK$ 28
7 2023-12-27 SH000041350
BRN_REFReference Document for Business Registration Number as UBI
2023-12-27·SH000041350·1p·HK$ 20
1 HK$ 20
8 2023-11-20 24001489629
ND2BNotice of Change of Company Secretary and Director (Particulars) (English)
2023-11-20·24001489629·3p·HK$ 20
3 HK$ 20
9 2023-1-20 22302260369
NAR1Annual Return (2023) (English)
2023-1-20·22302260369·12p·HK$ 28
12 HK$ 28
10 2022-2-9 24001258736
NR1Notice of Change of Address of Registered Office (English)
2022-2-9·24001258736·1p·HK$ 20
1 HK$ 20

III. Commercial Due Diligence & Historical SFC License Risk Screening

Statutory Licences (32 Regulators) Licensed Entity
Insurance Authority Licensed Insurance Intermediary (IA)
Active (Licensed)
Statutory Licence Registered in Registry
Securities and Futures Commission (SFC)
De-registered
Licence No. ABV029
Court Litigation & Dockets No Public Dockets
Screen civil disputes, commercial claims, and criminal dockets across High Court, District Court, and Small Claims Tribunal. No public litigation records found.
Insolvency, Regulatory Actions & Alert Lists Clean Record
Screen official gazettes, HKMA alert list, TCSP disciplinary notices, SFC enforcement actions, and High Court winding-up petitions. No negative enforcement records found.
Office & Address Verification Address Resolved
24/F, ‍​​‌‌‌​​​​​‌‌​‌‌​​‌​​‌​​​​‌​​​​‌‌​​‌‌‌​‌​​​‌‌​​‌​​​‌‌​​​‌​​‌‌​‌‌​​​‌​‌‌‌​​​‌‌​‌‌‌​​‌‌​​‌‌​​‌‌‌​‌​​​‌‌​​‌​​​‌‌​‌‌​​​‌‌​​​​​​‌‌‌​​‌​​‌‌​​‌​​​‌‌​​​​​​‌‌‌​‌​​​‌‌​​‌‌​​‌‌​​‌​​​‌‌​‌‌‌​​‌‌​‌​​​​‌‌​‌‌‌​​‌‌​​‌‌​​‌‌​​‌‌LEE GARDEN, 33 HYSAN AVENUE, CAUSEWAY BAY, HONG KONG
Hong Kong Corporate Due Diligence & Risk Screening Service

IV. SFC License Cessation & Historical Compliance FAQ

No longer active. According to the Public Register of Licensed Persons and Registered Institutions maintained by the SFC, CHIMAERA FINANCIAL GROUP LIMITED previously held an SFC regulatory licence (Central Entity CE No.: ABV029). While the corporate entity remains registered and active [Live] in the Companies Registry, its statutory SFC financial licence has ceased and is currently [Ceased / De-registered] (Verified: September 2026).

Under the Securities and Futures Ordinance (Cap. 571), the SFC classifies regulated activities into 10 distinct classes. Key classes include: Type 9 (Asset Management: managing mutual/private equity funds, hedge funds, and discretionary family office mandates), Type 1 (Dealing in Securities: brokerage and placing), Type 4 (Advising on Securities: investment research and advisory), and Type 6 (Advising on Corporate Finance: IPO sponsor). A licensed corporation must strictly operate within its approved regulated activities and comply with specific licensing conditions (e.g., prohibition against holding client assets or serving professional investors only). 86hc.com cross-checks the SFC Public Register to verify the precise scope of authorized activities and restrictions for CHIMAERA FINANCIAL GROUP LIMITED.

Under Section 125 of the Securities and Futures Ordinance (Cap. 571), the SFC enforces a strict 'Dual Responsible Officer (RO)' regime: every licensed corporation must appoint at least two SFC-approved Responsible Officers for each regulated activity it conducts, with at least one RO ordinarily resident in Hong Kong and possessing executive director authority. Responsible Officers bear personal statutory accountability for the firm's compliance, operational safety, and risk management. If a licensed firm experiences key RO resignations causing the number of active ROs to drop below two, the SFC may suspend the firm's licence or prohibit onboarding new accounts. 86hc.com verifies the RO roster, executive management appointments, and licensed representatives for CHIMAERA FINANCIAL GROUP LIMITED.

Through 86hc.com's direct registry retrieval system, you can instantly inspect and retrieve the full statutory filings for CHIMAERA FINANCIAL GROUP LIMITED deposited at the Hong Kong Companies Registry. Essential statutory records include: 1. Latest Annual Return (Form NAR1), comprehensively disclosing paid-up share capital, ultimate shareholder equity allotment, current registered director register, and company secretary; 2. Notification of Change of Secretary and Director (Form ND2A), tracing executive board adjustments; 3. Articles of Association. All official document images retrieved via 86hc.com feature official ICRIS registry barcodes guaranteeing 100% authenticity, and support Certified True Copies (CTC) signed by practicing Hong Kong CPAs for private banking KYC and institutional compliance.

Under Part IX of the Securities and Futures Ordinance (Cap. 571), the SFC possesses comprehensive statutory enforcement powers. For regulatory breaches—such as market misconduct, insider dealing, client asset mishandling, or AML internal control failures—the SFC may impose five statutory disciplinary sanctions: public or private reprimands, licence suspensions or full revocations, prohibition orders disqualifying individuals from the industry, and administrative fines of up to HK$10,000,000 or three times the profit gained or loss avoided. Furthermore, under Section 114 of Cap. 571, carrying on regulated activities without a licence is a serious criminal offence punishable by fines up to HK$5,000,000 and 7 years' imprisonment. Cross-referencing official SFC enforcement records on 86hc.com confirms that CHIMAERA FINANCIAL GROUP LIMITED currently has no active disciplinary orders or sanctions on file; however, its statutory SFC licence has ceased and is currently de-registered.

You can initiate fast-track due diligence and document verification directly on 86hc.com. Connecting directly with the Hong Kong Companies Registry ICRIS system, Inland Revenue Department Business Registration Office, and SFC Public Register, 86hc.com provides fully digitized statutory fulfillment: 1. [Official Registry Search Reports]: Complete statutory corporate extract bearing official watermarks and unique search dockets; 2. [Business Registration Certificate (BRC) Extract]: Validating tax registration legitimacy and authorized trade names; 3. [Statutory Image Dossier]: Direct retrieval of official image records (Form NAR1, Form ND2A, Articles); 4. [Hong Kong Practising CPA Certified True Copies (CTC)]: Certified, signed, and stamped page-by-page by qualified Hong Kong Practising Certified Public Accountants, 100% compliant with institutional private banking KYC, global custodian onboarding, and regulatory submissions.

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