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泰信基金张安格:“固收+”策略有望成为资产配置的重要工具
Zhong Zheng Wang·2025-08-07 14:26

Core Viewpoint - The rise of "fixed income +" strategies is attributed to multiple factors, including a low interest rate environment and the need for absolute returns from traditional fixed income products [1] Group 1: Market Environment - Traditional fixed income products are under pressure due to low yields, making them less attractive to investors [1] - The recovery of the equity market and the emergence of structural opportunities have led to a gradual restoration of investor risk appetite [1] Group 2: Strategy Advantages - The flexibility and risk control advantages of "fixed income +" strategies are becoming more apparent [1] - As market volatility persists, "fixed income +" strategies are expected to deepen and become an important tool for asset allocation [1]