Group 1 - The core viewpoint emphasizes that short-term fluctuations do not alter long-term value, and rational asset allocation is key to navigating market volatility [1][2][3] - Chinese economic resilience and a robust policy toolbox are viewed as essential supports against external shocks, with a clear commitment from policymakers to stabilize the market [1][2] - The importance of maintaining a long-term perspective is reiterated, with historical examples illustrating that market downturns can lead to new growth opportunities [3][4] Group 2 - Investors are advised to remain rational and view market fluctuations as opportunities, emphasizing the need for scientific asset allocation to mitigate risks [5][6] - The role of professional investment advisory services is highlighted, with a call for investors to trust in professional guidance to navigate complex market conditions [6]
券商纷纷致信投资者:波动不是敌人而是机会,要在恐慌中逆向布局优质资产