Group 1 - The bond market is currently experiencing a weak and volatile environment, with mixed performance in interest rate bonds and credit bonds, indicating potential challenges for investors [1][2]. - The credit bond market shows a differentiated performance influenced by tight liquidity, with varying outcomes based on bond types and ratings [2]. - Investors are advised to maintain flexible positions and closely monitor policy statements from the Two Sessions and PMI data, as these will guide market sentiment [3]. Group 2 - Bond fund holders should not overly worry about short-term fluctuations; new capital entering the market can adopt a phased investment strategy [4]. - A new feature in the app provides a comprehensive overview of the bond market, including real-time market conditions and sentiment indicators [5][6].
债市晴雨表 | 雨一直下…债市后续怎么看?
天天基金网·2025-02-27 10:42