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上周五大盘下挫40多点,算是对央行调高存款准备金率的提前反应,由此也揭开了中级调整的序幕。近期乃至未来一段时间内,大盘都将延续调整态势。其主要因素来自四个方面:一是央行货币紧缩政策对市场资金的抽离作用十分明显,二是以老基金为代表的主流机构的阶段性减持行为,三是新基金的充分建仓需借助调整市道完成,四是中小企业板的影响。那么调整市道下该如何操作,联合证券分析师田艺将为您指点迷津。
Last Friday the broader market fell more than 40 points, be regarded as the central bank raised the deposit reserve ratio in advance of the reaction, which also opened the prelude to intermediate adjustment. Recent and even some time in the future, the broader market will continue to adjust the situation. The main factors come from four aspects: First, the central bank monetary tightening effect on the role of market capital pull is obvious, the second is the mainstream fund represented by the old fund phased reduction behavior, and third, the full establishment of the new fund need to rely on Adjust the market to complete, the fourth is the impact of SME board. Then adjust the market how to operate under the joint securities analyst Tian Yi will give you guidance.