0415-“震荡行情下的破局之道” | 投资策略深度拆解 episode artwork

EPISODE · Apr 15, 2026 · 2H 3M

0415-“震荡行情下的破局之道” | 投资策略深度拆解

from 围炉财经

本期节目深度解析创业板指创11年新高后的调整逻辑,剖析外部风险与市场结构变化。节目系统讲解"红利打底+成长弹性"的资产配置框架,强调结构性思维替代指数思维的重要性。深度对比创业板与科创板的核心逻辑差异,揭示PPI转正背后的经济传导机制,提出"活下来、赚到钱、赚得久"的投资生存法则,帮助投资者在震荡市中构建稳健组合。本期围炉好友:-高乐:中国银河证券财富星首席投顾(S0130622080003)-王小可:加和基金首席产品官(F7760000000007)内容提要:00:03:31 市场调整逻辑与外部风险研判00:09:15 结构性市场下的资产配置框架00:15:45 宏观数据解读与经济传导机制00:25:06 大宗商品周期与全球资产展望00:29:00 市场研判、仓位管理与风险警示00:37:27 资产配置逻辑与动态执行策略00:51:43 波动率偏好与投资者成长路径00:59:02 市场成熟度与投资者心理建设01:02:30 收益预期与资产配置逻辑01:05:30 投资策略重于机会捕捉01:11:56 红利打底+成长弹性的组合构建01:17:53 创业板与科创板的核心逻辑差异01:25:05 市场节奏与对冲思路01:29:00 宏观关联与市场轮动逻辑01:30:30 科创板选股与研发转化逻辑01:32:20 仓位管理与组合配置策略01:46:50 行业深度对比:新能源与存储01:55:30 四月策略总结与红利风格切换01:59:00 投资心态与交易频率优化02:00:50 投资核心目标与生存法则02:01:40 市场展望与后续策略获取更多节目信息 \ 直播内容文字梳理 \ 行业观察文章,可关注微信公众号 @天下财经投资者 / 小红书 @北广空间-围炉财经

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0415-“震荡行情下的破局之道” | 投资策略深度拆解

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