国泰海通证券:多重因素支持中国权益表现,维持对A/H股的战术性超配观点
Di Yi Cai Jing·2025-12-01 14:26

Core Viewpoint - Multiple factors support the performance of Chinese equities, maintaining a tactical overweight view on A/H shares [1] Group 1: Market Conditions - Global risk appetite has significantly declined, leading to increased asset volatility and panic selling, which has greatly released micro trading risks [1] - The importance of economic growth at the start of the 14th Five-Year Plan is highlighted, with an approaching policy window period suggesting the market may establish new expectations [1] Group 2: Regulatory Environment - The regulatory authorities show strong determination and action plans to stabilize the capital market in the short term [1] Group 3: Valuation and Investment Outlook - Factors that previously caused valuation discounts in the stock market have been alleviated, with tail risks decreasing and the stabilization of RMB assets [1] - The Chinese capital market is in a cycle of valuation recovery and significant development, with potential for substantial upside [1] - Chinese equities offer a higher risk-return profile compared to other major asset classes [1]