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吴清:“十四五”上证综指年化波动率15.9%,较“十三五”下降2.8个百分点
第一财经·2025-09-22 08:06

Core Viewpoint - The resilience and risk resistance capability of the A-share market have significantly improved during the "14th Five-Year Plan" period, as indicated by a decrease in the annualized volatility of the Shanghai Composite Index to 15.9%, which is a reduction of 2.8 percentage points compared to the "13th Five-Year Plan" period [1] Group 1 - The A-share market's resilience has been highlighted as a key improvement during the "14th Five-Year Plan" [1] - The annualized volatility of the Shanghai Composite Index is reported at 15.9% [1] - The decrease in volatility by 2.8 percentage points compared to the previous five-year period indicates enhanced market stability [1]