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私募大佬杨东,扫货多只港股!
证券时报·2025-03-02 02:32

Core Viewpoint - The article highlights the recent investment activities of Yang Dong, a prominent private equity figure, who has been actively increasing his stakes in various Hong Kong stocks, particularly in Country Garden Services, indicating a bullish outlook on the Hong Kong market [1][2][4]. Group 1: Investment Activities - On February 14, Shanghai Ningquan Asset Management increased its stake in Country Garden Services by acquiring 900,000 shares at an average price of 5.13 HKD per share, bringing its total holdings to 168 million shares, surpassing the 5% threshold for a formal stake [1][4]. - As of February 28, Ningquan Asset had increased its holdings in 10 companies in the Hong Kong market, including major firms like Xinyi Energy, Datang Renewable, and Vanke Enterprises, reflecting a strong confidence in the market [2][14]. - The firm has also shown a pattern of increasing stakes in other stocks, such as Datang Renewable and Xinyi Energy, indicating a strategic approach to building a diversified portfolio [8][9][11]. Group 2: Company Performance - Country Garden Services, once valued at over 200 billion HKD, has faced significant challenges, including substantial asset impairments and a stock price decline of approximately 90%, now valued at under 20 billion HKD [3][5]. - Despite the downturn, Yang Dong's strategy of buying into Country Garden Services aligns with his historical investment philosophy of capitalizing on undervalued assets [4][5]. - The company reported a revenue of 21.05 billion HKD for the first half of 2024, a modest increase of 1.5%, but its core net profit dropped by about 31.7%, indicating pressure on profitability and cash flow [5]. Group 3: Market Outlook - Ningquan Asset's recent monthly report suggests that equity assets are a favorable choice for domestic investors, with a focus on structural opportunities in the market for the year ahead [2][16]. - The firm anticipates a "slow bull" market characterized by fluctuations, which could present opportunities for gains despite the current volatility [15][16]. - The asset allocation strategy indicates a preference for sectors such as real estate, basic chemicals, and utilities, with adjustments made based on market conditions [16][17].