抄底?
第一财经·2025-12-03 12:21

Core Viewpoint - The market is experiencing a correction phase, with a notable shift in capital allocation towards low-volatility sectors, while retail investors are engaging in structural bottom-fishing strategies [6][8]. Market Performance - The three major indices have all fallen below the 5-day moving average, indicating a bearish trend, with 1,442 stocks rising and 3,872 stocks declining [4]. - The trading volume in the two markets reached 6.6 trillion, reflecting a 4.80% increase, suggesting a significant adjustment in capital allocation rather than a mass withdrawal [6]. Capital Flow - There was a net outflow of 8.696 billion from institutional funds, while retail investors showed a net inflow [7]. - Institutions are cautiously positioning themselves in low-volatility sectors such as coal and non-ferrous metals, while remaining watchful on growth sectors like lithium batteries and AI applications [8]. Investor Sentiment - Retail investor sentiment stands at 75.85%, indicating a relatively optimistic outlook despite the market's downturn [9]. - The average position held by investors is 70.18%, with 32.31% increasing their positions and 14.53% reducing them [12][18].