Group 1 - The core viewpoint of Huajin Securities is that the current market is transitioning from being driven by traditional economic cycles to being influenced by multiple factors such as industrial trends, institutional reforms, and changes in the global competitive landscape [1] - The company anticipates that in the first quarter of 2026, there will be a focus on major asset allocation, actively seizing investment opportunities in financial and commodity futures markets [1] - Huajin Securities emphasizes a balanced approach between growth and value styles, with structural opportunities primarily concentrated in technology sectors, undervalued value segments, and industries benefiting from domestic demand recovery [1] Group 2 - The asset management team of Huajin Securities plans to maintain a prudent investment philosophy, leveraging professional management capabilities to create core product series that act as a "stabilizer" in client asset allocation [1] - The company aims to provide high-quality investment research services and asset allocation solutions, focusing on customer core needs to enhance its distinctive wealth management brand [2] - Huajin Securities introduced its upgraded wealth management system and asset allocation services, including features like premium accounts, smart conditional orders, and enhanced T0 quantitative trading tools [1]
华金证券举办2026年度策略会
Zhong Zheng Wang·2026-01-13 04:58