0121週三精選-當前投資市場「高基期、高成長、高波動」的環境下,到底要採取如何的操作策略才是比較適合的 episode artwork

EPISODE · Jan 21, 2026 · 12 MIN

0121週三精選-當前投資市場「高基期、高成長、高波動」的環境下,到底要採取如何的操作策略才是比較適合的

from 散戶好夥伴 · host 張國秋

現階段投資策略建議可以採取「動態平衡、防禦成長並重」的投資策略,以兼顧獲利潛力與風險控管。建議如下:1. 專注「高品質成長」的 核心資產。2. 配置防禦:利用「高股息」與「多策略」3. 風險控管工具:善用「分批進場」與「停損停利」。另外分享獲利穩健但基期相對較低的股票2395的研華,從董監持股、1000張大戶持股跟現金流量表分享2395研華的投資機會。聯絡資訊:[email protected] -- Hosting provided by SoundOn

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0121週三精選-當前投資市場「高基期、高成長、高波動」的環境下,到底要採取如何的操作策略才是比較適合的

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