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经济仍然处于V型反弹的通道中,证券市场的流动性趋向收紧。预计四季度或以区间波动为主,建议关注弱周期和银行板块。
The economy is still in a V-shaped rebound in the channel, the liquidity of the securities market tends to tighten. Expected in the fourth quarter or range-based, it is recommended to focus on the weak period and the banking sector.