红利高股息与科技双管齐下,四季度投资策略大揭秘 episode artwork

EPISODE · Nov 11, 2025 · 4 MIN

红利高股息与科技双管齐下,四季度投资策略大揭秘

from 每天五分钟,基金定投聊通透

在临近四季度时,投资者应坚持杠铃策略,兼顾红利与科技。对于风险偏好高的投资者,可以倾向于科技股,而追求稳健的则应保持均衡配置。随着年末临近,市场即将迎来重要政治会议,建议投资者在此期间观察政策变化,再做决策。同时,市场热门板块的高风险不容忽视,需做好心理准备。掌握投资逻辑,利用低波指数和高股息资产,才能在波动的市场中实现稳妥收益。00:02:02:震荡风险高的市场,如何稳健投资?红利和高科技双管齐下或是一个不错的选择。00:04:06:贪婪的陷阱:贪念引发的亏损背后的故事

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红利高股息与科技双管齐下,四季度投资策略大揭秘

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