Strategy Overview - The report focuses on the industry rotation ETF strategy, recommending a portfolio based on industry and thematic ETFs, with an emphasis on quantitative analysis of industry style continuation and switching [2][3]. Recommended Sectors and Products - For the week of November 17, 2025, the model recommends increasing allocations to sectors such as communication equipment, consumer electronics, and real estate development. New additions include real estate ETF, consumer electronics ETF, and gaming ETF, while continuing to hold communication ETF and VRETF [2][3]. Performance Tracking - From November 10 to November 14, 2025, the strategy recorded a cumulative net return of approximately -2.23%, with an excess return of -1.11% compared to the CSI 300 ETF. Since October 14, 2024, the cumulative return of the strategy is about 22.80%, with an excess return of 0.64% relative to the CSI 300 ETF [2][3][11].
策略周报:行业轮动ETF策略周报-20251117
2025-11-17 08:26