EPISODE · Mar 26, 2025 · 7 MIN
股市震荡、汇率疲软
from 维明说投资
在复杂的国际局势和动荡的金融市场中,刘维明老师在播客中深入探讨了2025年的投资策略。他强调,上市公司的业绩增长是投资股票市场的核心,而整体经济环境与行业趋势对业绩影响巨大。尽管科技板块有一些表现优异的公司,但并非所有企业都具备同样的竞争力。同时,人民币汇率走软可能标志着长期趋势的开始,投资者需谨慎应对市场波动,保持冷静,降低预期,精细挑选投资标的,以应对未来的不确定性。00:02:02:科技行业前景:局部优异,整体稳定,少数公司脱颖而出00:04:03:金融市场展望:人民币汇率走势和美国利率调整的长期影响00:06:06:未来降息预期越来越悲观,金融市场波动区间狭窄,投资需谨慎选择标的。
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股市震荡、汇率疲软
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