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真正的股王
表舅是养基大户· 2025-03-19 13:35
昨晚提到,本周一共四件大事,提振消费发布会、小米和腾讯的年报、美俄领导人昨晚通电话,以及明天凌晨的美联储议息会议。 第二,舍得花钱 。24年派发股息320亿、回购1120亿港币,合计1400+亿港币,也就是花了1300亿左右的人民币(而全年净利润2000亿左右);2025年, 计划派息410亿,至少回购800亿,合计超1200亿。什么叫股东回报,什么叫真正的市值管理,这就是了。 说腾讯现在是中国的"股王" ,我觉得一点都不为过,说到底,是两个原因。 昨天 小米 的年报是港股盘后发的,昨晚美股的小米ADR涨接近4%,今天小米的港股涨接近1%,而恒生科技跌-1%,换句话说,市场已经算很认 可了——雷总的小米什么都好,就是太贵了,50多倍的PE,咬咬牙闭着眼才能吞下去。 然后昨晚 普/特 两人也通完电话了,据说普因为作一个企业家年度大会的讲话,还让特等了一个小时,这就非常牛逼,能让川宝等1个小时的, 地球上可能也找不出第二个人了。 当然,今天最重要的,还是 股王腾讯的年报 ,也是港股盘后发布的,整体继续超预期,四季度营收同比增11%,净利润同比增90%;全年的 话,营收同比增8%,净利润同比增68%。 我看了一眼, ...
风格Smart beta 组合跟踪周报:均衡组合维持优势-2025-03-13
Haitong Securities· 2025-03-13 06:12
- Model Name: Value Smart Beta Portfolio; Model Construction Idea: Based on high beta elasticity and long-term stable excess returns, selecting historically low-correlated value style; Model Construction Process: Constructed Value 50 Portfolio and Value Balanced 50 Portfolio based on the above idea[9]; Model Evaluation: Demonstrates stable performance with excess returns over the benchmark[9] - Model Name: Growth Smart Beta Portfolio; Model Construction Idea: Based on high beta elasticity and long-term stable excess returns, selecting historically low-correlated growth style; Model Construction Process: Constructed Growth 50 Portfolio and Growth Balanced 50 Portfolio based on the above idea[9]; Model Evaluation: Shows potential for high returns with some volatility[9] - Model Name: Small Cap Smart Beta Portfolio; Model Construction Idea: Based on high beta elasticity and long-term stable excess returns, selecting historically low-correlated small cap style; Model Construction Process: Constructed Small Cap 50 Portfolio and Small Cap Balanced 50 Portfolio based on the above idea[9]; Model Evaluation: High returns with higher risk compared to other styles[9] Model Backtest Results - Value Smart Beta Portfolio, Weekly Return: 1.57%, Monthly Return: 1.57%, Yearly Return: -1.44%, Excess Return: 0.26%, Maximum Relative Drawdown: 2.26%[10] - Value Balanced 50 Portfolio, Weekly Return: 2.67%, Monthly Return: 2.67%, Yearly Return: -0.76%, Excess Return: 1.36%, Maximum Relative Drawdown: 3.99%[10] - Growth Smart Beta Portfolio, Weekly Return: 0.64%, Monthly Return: 0.64%, Yearly Return: 3.96%, Excess Return: -1.09%, Maximum Relative Drawdown: 2.49%[10] - Growth Balanced 50 Portfolio, Weekly Return: 2.40%, Monthly Return: 2.40%, Yearly Return: 10.72%, Excess Return: 0.66%, Maximum Relative Drawdown: 1.77%[10] - Small Cap Smart Beta Portfolio, Weekly Return: 1.68%, Monthly Return: 1.68%, Yearly Return: 8.39%, Excess Return: -2.32%, Maximum Relative Drawdown: 6.23%[10] - Small Cap Balanced 50 Portfolio, Weekly Return: 4.67%, Monthly Return: 4.67%, Yearly Return: 13.21%, Excess Return: 0.67%, Maximum Relative Drawdown: 3.67%[10]