Group 1 - The core viewpoint emphasizes the importance of the "15th Five-Year Plan" as a critical period for China to respond to global changes and enhance development advantages, focusing on high-quality development and expanding domestic demand [1] - The plan highlights the need for technological modernization to support Chinese-style modernization, aiming to enhance the national innovation system and accelerate self-reliance in high-level technology [1] - The long-term investment value of Chinese assets is becoming more prominent against the backdrop of declining global economic growth and continuous breakthroughs in Chinese technological innovation [1] Group 2 - In a low-interest-rate environment, investors are seeking asset allocation targets that balance safety and returns, with a focus on multi-strategy asset allocation as a future direction [2] - The macroeconomic transition from recession to recovery suggests opportunities in the bond market while gradually building equity asset combinations [2] - Key principles for asset allocation in a low-interest-rate era include setting reasonable return targets, diversifying investments, and managing currency risks globally [2] Group 3 - Future investment themes include focusing on short-term certainty, strategically managing macro risks, and leveraging disruptive trends such as digital innovation and low-carbon transitions [3] - Regulatory shifts in the asset management industry are moving from scale-oriented to quality-oriented, emphasizing fiduciary responsibility [3] - The company aims to enhance global asset allocation capabilities by developing a systematic investment research framework and an AI-driven investment advisory platform [3]
低利率环境下,多策略资产配置大势所趋
Di Yi Cai Jing Zi Xun·2025-10-24 14:48