资产配置实战-25Feb2-我的债基,2025还能回本么? episode artwork

EPISODE · Feb 27, 2025 · 33 MIN

资产配置实战-25Feb2-我的债基,2025还能回本么?

from 投知君君

本期节目录制于2025年2月26日,主要给大家分享了中国债券市场的近期波动原因及未来投资策略,近期债市调整的原因包括宽松政策的预期落空和海外通胀的影响。 当前经济环境下债券投资的策略,需要考虑的是票息收入的重要性,降低对资本利得的预期。在宏观经济走平的背景下,在固定收益端获取稳定票息,同时在权益端寻找结构性增长的机会。最近债市调整主要原因有以下几点:* 前期涨幅过大:债券市场在前期经历了一轮牛市,累积了过多的涨幅,存在调整的需求。* 政策预期落空:市场此前对货币政策过度宽松存在不切实际的预期,但央行强调的是“适度”宽松,使得市场预期未能兑现。具体表现为:降准预期落空: 本来市场预期央行会在年初降准,但实际上央行只是通过公开市场操作投放了短期流动性。降息预期落空: 由于美联储未降息,中国央行也未跟随降息。* 基本面不支持:GDP增速并不支持债市过度上涨: 在中国GDP增速维持在4%左...去小宇宙查看完整单集简介在小宇宙查看该单集文稿

Episode metadata supplied by the publisher feed · Published Feb 27, 2025

Embed this episode

NOW PLAYING

资产配置实战-25Feb2-我的债基,2025还能回本么?

0:00 33:42

No transcript for this episode yet

We transcribe on demand. Request one and we'll notify you when it's ready — usually under 10 minutes.

No similar episodes found.

No similar podcasts found.

Frequently Asked Questions

How long is this episode of 投知君君?

This episode is 33 minutes long.

When was this 投知君君 episode published?

This episode was published on February 27, 2025.

Can I download this 投知君君 episode?

Yes. Use the download control on the episode player to save the publisher-provided media file.
URL copied to clipboard!