EPISODE · Oct 17, 2025 · 6 MIN
十月市场的反复震荡,投资者该如何应对?
from 每天五分钟,基金定投聊通透
十月份A股可能反复震荡,但大幅下跌概率不大。市场信心足,情绪高,应对得当,国家队托底能力被认可。建议保持杠铃策略,一手红利一手科创,平衡风险。尽管科创一飞冲天,红利依旧重要,能提供稳定回报。市场变化时,稳健投资更安全。思考自己是否适合“渣男”板块的投资方式,做出明智选择。02:01 配置资产组合的关键:杠铃策略与哑铃策略的优劣分析04:03 稳健投资的选择:红利板块与渣男板块的对比分析06:03 渣男板块投资:风险与机遇并存,你敢尝试吗?
Embed this episode
NOW PLAYING
十月市场的反复震荡,投资者该如何应对?
0:00
6:17
1×
No transcript for this episode yet
Similar Episodes
No similar episodes found.
Similar Podcasts
No similar podcasts found.
Frequently Asked Questions
How long is this episode of 每天五分钟,基金定投聊通透?
This episode is 6 minutes long.
When was this 每天五分钟,基金定投聊通透 episode published?
This episode was published on October 17, 2025.
Can I download this 每天五分钟,基金定投聊通透 episode?
Yes. Use the download control on the episode player to save the publisher-provided media file.
URL copied to clipboard!