Vol.14 财经公关丨减持的公关应对 episode artwork

EPISODE · Nov 20, 2025 · 7 MIN

Vol.14 财经公关丨减持的公关应对

from 公关微talk

本篇播客根据极简公关咨询创始合伙人Luke发表于公众号"极简公关"文章《减持的公关应对》,由AI工具生成。更多内容请订阅"极简公关"公众号。内容速览:一、基础认知:减持行为与市场博弈的本质* 减持现状:2024年9月24日-10月10日,158家上市公司263名股东披露减持计划,221位股东实施减持,成为二级市场最大空头* 核心逻辑:产业资本具备信息差与成本优势,二级市场价格由流通股边际定价,大小非存量股减持市场难以承载* 监管背景:2024年5月24日证监会发布《上市公司股东减持股份管理暂行办法》,严格限制破发破净、分红不达标等情形下的减持行为,并明确离婚、解散等绕道减持情形二、风险警示:减持舆情的四大敏感因子* 市场环境敏感度:监管趋严背景下,减持被视为对抗政策导向行为,产生负面舆情概率显著增大* 股价趋势敏感度:下跌市中减持杀伤力远大于牛市,易被解读为内部人士不看好...去小宇宙查看完整单集简介前往小宇宙评论区与主播互动

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Vol.14 财经公关丨减持的公关应对

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