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Thumnail
01 APR 2025 | Market Outlook
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Thumnail
2025年3月市场展望:政策调整与经济不确定性下的谨慎乐观

中国两会的结束为中国及香港市场注入了一定乐观情绪。主要政策措施包括维持5%的经济增长目标,并将财政赤字扩大至国内生产总值 (GDP) 4%。北京还承诺将加大对私营部门及前沿技术的支持。投资者对这些公告的反应总体积极,因为政府正将重点转向恢复私营部门活力,从而推动经济增长。我们认为,由于近年来全球对中国的整体情绪偏负面,这一积极势头仍处于初期阶段。

美国主导的贸易关税上调引发了显著的政治与经济不确定性,主要通过增加消费者和企业的成本,以及潜在的贸易伙伴报复措施。这导致市场波动加大,并抑制了企业乐观情绪。鉴于贸易相关事件可能对全球供应链产生影响,我们对其发展保持谨慎。然而,我们认为目前尚不宜进行重大投资组合调整,因为历史数据显示供应链对环境变化具有一定韧性。

美国消费者信心因通胀预期上升而骤降。消费者在支出上愈发谨慎,担心购买力下降。这种犹豫还受到零售销售等经济指标放缓的强化。数据进一步显示,餐饮服务行业销售明显下降,这可能预示消费者需求减弱。我们将密切关注这一变化是短期波动,还是更广泛负面趋势的开端。

当前,我们对投资组合的风险定位仍感舒适,组合在各行业和地区间保持良好分散。
 

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