Core Viewpoint - Investors should set reasonable return targets, appropriately assume risks, broaden investment scope, and extend investment horizons in a low-interest-rate environment [1] Group 1: Asset Allocation Principles - Holding risk assets can yield risk premiums, and diversification is the only free lunch in investing [1] - A reasonable allocation of alpha and beta is essential, and global allocation requires managing currency risks [1] Group 2: Future Investment Outlook - The current investment landscape is characterized by greater short-term clarity compared to long-term macro prospects, suggesting a maintenance of risk appetite [1] - Strategic management of macro risks is necessary to navigate macroeconomic fluctuations through active management [1] - Emphasizing disruptive trends, investors should focus on digital innovation, artificial intelligence, geopolitical shifts, and low-carbon transitions as structural changes [1]
贝莱德基金董事长:投资当下的确定性,建议投资者维持风险偏好
Xin Lang Cai Jing·2025-10-25 03:58