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中证协督促券商对不实信息迅速辟谣、对质疑事项快速核实
news flash· 2025-07-11 09:17
Group 1 - The core viewpoint of the article emphasizes the importance of reputation risk management in the securities industry, as highlighted by the China Securities Association's new regulations [1] - The new regulations require securities firms to implement strict reputation risk management guidelines and establish comprehensive systems for monitoring, identifying, assessing, and addressing public sentiment [1] - The association stresses the need for a dual approach of "response + handling" to quickly refute false information and verify questionable matters [1]
召回一个充电宝,究竟要花多少钱
3 6 Ke· 2025-07-11 08:58
120万台22.5W型号的充电宝,重量大约340吨。相当于8架民航客机的总重量。一次性空铁联运这些货物,至少需要投入100人以上的总人力,一到两架货 机加上20节火车。一旦出现安全隐患,次生灾害与公共影响将不可估量。 现在,这些风险被均摊在超120万人手中。因为出现自燃事件,罗马仕和安克宣布召回超120万台充电宝。然而因为危险品处置流程复杂,充电宝召回事件 引发的社会内耗远超产品本身缺陷。售后推诿、物流阻断、废弃处置责任转嫁,一个小小的充电宝不仅让消费者陷入处置困境,也让整个社会产生了巨大 的资源空耗。从企业到个人,都被卷入为其买单的荒诞链条。 #01 退款遥遥无期,先搭进去两天工时 "梦回OFO小黄车幽灵退款。" 盯着手机屏幕上的退款进度,李辰久久无法回神:退款队列排在17万名开外,预计需要15-30个工作日到账。何以解忧?唯有自我调侃。李辰能做的只有 拿起手机,在社交媒体上笑谈:经历了九九八十一难,最终重温2017小黄车的薛定谔式退款。 这"八十一难"中,第一难是与客服谈判。6月16日宣布罗马仕宣布召回三款移动电源后,李辰很快确认了自己的倒霉充电宝,恰好就是49万多"定时炸 弹"中的一员。 李辰是在校大学 ...
新华中诚信多资产指数系列上线 满足多样化资产配置需求
Xin Hua Cai Jing· 2025-07-11 08:55
Core Viewpoint - The launch of the Xinhua Zhongxin Credit Bond Constant Proportion and Risk Parity Index Series aims to provide diversified investment targets and performance benchmarks in a low-interest-rate environment, highlighting the opportunity for asset allocation rebalancing [1][4]. Group 1: Index Composition and Strategy - The index series consists of two asset classes: stocks and bonds, with stock assets including the Xinhua Zhongxin Dividend Value Index and the Xinhua Zhongxin Quality Advantage Index, while bond assets include the Zhongxin 1-3 Year Credit Bond Investment Grade Preferred Index and the Zhongxin Sci-Tech Innovation Theme Credit Bond Investment Grade Index [4]. - The index series employs constant proportion and risk parity strategies for asset allocation, providing investors with tools for disciplined asset allocation and dynamic risk balancing [4][5]. Group 2: Performance Metrics - As of July 10, the Xinhua Zhongxin Dividend Value Stock-Bond Risk Parity Index has a stock asset weight of 3.64% and a bond asset weight of 96.36%, achieving an annualized return of 4.62% since its inception, with a maximum drawdown of only 1.26% [4]. - The combination of the two strategies results in a favorable risk-return profile, with higher returns compared to pure bond indices and significantly lower volatility than pure stock indices, making it suitable for institutional investors seeking absolute returns [5]. Group 3: Target Investor Segments - The index series is particularly appealing to bank wealth management subsidiaries and insurance asset management firms as a "line-drawing" asset allocation tool, especially in a low-interest-rate environment [5]. - For conservative investors, the Dividend Value Stock-Bond Combination Index offers the potential for high dividend and coupon income, while policy-sensitive funds can benefit from the Sci-Tech bond combination series, enhancing yield elasticity while considering innovation themes [5].
指数周线三连阳,总规模却跌破2000亿元丨A500ETF观察
Index Performance - The CSI A500 Index rose by 0.96% this week, closing at 4707.08 points on July 11, marking three consecutive weeks of gains [6] - The average daily trading volume for the week was 4067.87 billion yuan, with a week-on-week increase of 10.89% [6] Component Stocks Performance - The top ten gainers this week included: 1. Zhongyou Capital (000617.SZ) with a gain of 27.78% 2. Quzhou Development (600208.SH) with a gain of 23.67% 3. Northern Rare Earth (600111.SH) with a gain of 21.66% 4. Shenghe Resources (600392.SH) with a gain of 18.99% 5. Harbin Investment (600864.SH) with a gain of 16.36% 6. China Rare Earth (000831.SZ) with a gain of 16.31% 7. Baogang Group (600010.SH) with a gain of 15.47% 8. New Town Holdings (601155.SH) with a gain of 12.98% 9. JA Solar Technology (002459.SZ) with a gain of 12.56% 10. Sungrow Power Supply (300274.SZ) with a gain of 12.50% [4] - The top ten losers included: 1. Huahai Pharmaceutical (600521.SH) with a loss of 9.50% 2. Kelun Pharmaceutical (002422.SZ) with a loss of 8.61% 3. Baillie Gifford (688506.SH) with a loss of 8.43% 4. Junshi Biosciences (688180.SH) with a loss of 7.54% 5. Dongpeng Beverage (605499.SH) with a loss of 6.30% 6. Yingfeng Environment (000967.SZ) with a loss of 5.94% 7. Ziwen Mining (601899.SH) with a loss of 5.79% 8. Juhua Group (600160.SH) with a loss of 5.62% 9. Shandong Gold (600547.SH) with a loss of 5.41% 10. Pudong Development Bank (600000.SH) with a loss of 5.35% [4] Fund Performance - All 38 CSI A500 funds collectively rose this week, with the top performer being the Fortune Fund, which increased by 1.48% [7] - The total scale of these funds reached 1985.44 billion yuan, with the top three being Huatai-PineBridge (189.17 billion yuan), Guotai (178.43 billion yuan), and GF Fund (171.80 billion yuan) [7] Market Insights - Recent reports indicate that the A-share market has broken through key levels, moving away from a "full reduction" mindset, with structural expansion observed [8] - The bond market is experiencing low interest rates and volatility, facing strong resistance both upwards and downwards [8] - The report suggests that the second half of the year will see an influx of incremental capital, driving the market to a new level, with insurance capital leading the way [8] - The technology sector is highlighted as having high probability and return potential due to industry trends and supportive policies [8] - Consumer data shows signs of improvement, with macroeconomic indicators reflecting positive trends, particularly in discretionary consumption [9]
中邮保险北京分公司开展“7.8全国保险公众宣传日”系列活动
Cai Jing Wang· 2025-07-11 08:25
2025年是第十三个"全国保险公众宣传日",中邮保险北京分公司紧扣"爱和责任,保险让生活更美好"年度主题,开展 系列形式多样、接地气重实效的宣传活动,积极展现保险行业责任担当。 护航学子成长,暖心助力高考季 组织开展"邮此起航,成长邮你"高考咨询活动,开场特别介绍了"7.8全国保险公众宣传日"年度主题与中邮保险"守护 人民美好生活"使命,进一步提升公众保险感知力。活动聚焦高考家庭志愿填报核心需求,邀请志愿规划专家深入讲 解填报策略。此外,还围绕教育金规划、健康保障等热点话题进行讲解,帮助考生家长树立更科学的风险管理理念。 通过专业保险服务与人文关怀,让保险成为每个人前行路上的坚实后盾,用心守护每个家庭的殷切期望与美好未来。 为扩大7·8保险社会宣传面,营造宣传日良好氛围,在首都最具影响力的金融中心区投放7.8主题海报和中邮保险品牌 广告,金融大街、金城坊街、武定侯大街、广宁伯大街44块双面户外屏滚动播放,充分展示保险文化及其多元服务, 树立良好行业品牌形象。 为展现保险人责任担当和良好精神风貌,7月8日,组织员工在白塔寺街区开展绿色环保健步走活动。大家统一着7.8活 动主题T恤文化衫,昂首阔步、步伐整齐,尽享 ...
日本最大半导体经销商社长:增加中国产半导体交易
日经中文网· 2025-07-11 08:16
Macnica社长原一将(横浜市) 日本Macnica的社长原一将:虽然存在地缘风险,但不聚焦中国市场是不可能的。目前我们主要经营欧 美厂商生产的半导体,但今后中国的需求方可能会避开欧美产品而选择中国本国产品…… 在中美对立激化的背景下,从事半导体经销业务的商社的竞争格局也发生变化。位居日本国 内首位的日本Macnica的原一将社长表示,"正在增加与中国半导体厂商的交易",透露称该 公司正在采取措施防范政治风险。 记者:半导体市场行情复苏速度迟缓。 原一将: 工业设备需求不断下滑。原本预计2025年下半年半导体需求会复苏、2025年度销 售额会增长10%左右,但考虑到美国特朗普政府关税政策的影响,已调整为与上年基本持 平。 原一将 记者:在中美对立的情况下,如何实现增长? 1994年毕业于甲南大学理学专业,1995年入职Macnica。曾担任营业统括部长、创新战略事 业本部长,2018年担任董事。2019年开始担任现职。出身于兵库县。 原一将: 虽然存在地缘政治风险,但不聚焦中国市场是不可能的。目前我们主要经营欧美厂 商生产的半导体,但今后中国的需求方可能会避开欧美产品而选择中国本国产品。因此,我 们目前正在 ...
特朗普“对等关税2.0”开战,欧股开盘下跌,美元、黄金走强,比特币涨创新高
Hua Er Jie Jian Wen· 2025-07-11 07:54
特朗普升级贸易威胁,暗示对大多数贸易伙伴征收更高关税,引发全球市场剧烈反应。股指期货回落,美元走强,投资者对关税政策不确定性的 担忧重新抬头。 周五,欧洲斯托克50指数开盘跌0.4%,加元走弱。美元指数上涨0.2%,日元下跌,成为G10货币中表现最差的货币。比特币延续创纪录涨势,突 破11.8万美元。 据央视新闻报道,当地时间7月10日,美国总统特朗普宣布,将自8月1日起,对自加拿大进口的商品征收35%关税。报道称,特朗普还表示,他计 划对多数贸易伙伴征收15%或20%的统一关税。 欧洲斯托克50指数开盘跌0.4%,德国DAX指数跌0.5%,英国富时100指数平开,法国CAC 40指数跌0.3%。 日经225指数收盘跌0.2%,报39569.68点。日本东证指数收盘涨0.4%,报2823.24点。韩国首尔综指收盘跌0.2%,报3175.77点。 越南VN指数涨近2%,报道称越南对特朗普20%的关税感到惊讶,寻求更低的关税。 10 年期美国国债收益率上涨 1 个基点至 4.36%。 日本 10 年期国债收益率变化不大,为 1.495%。 美元现货指数上涨 0.2%。欧元兑美元下跌 0.2% 至 1.1681 美 ...
宏观深度报告:房地产对中国经济的影响已明显减弱
Soochow Securities· 2025-07-11 07:24
证券研究报告 · 宏观报告 · 宏观深度报告 宏观深度报告 20250711 房地产对中国经济的影响已明显减弱 ■ 理性看待经济动能转换过程中地产的负增长 ■ 宏观视角:地产投资对经济增长的影响已明显减弱 > 其一,从经济增长的角度,尽管过去几年地产投资维持着 10%的负增 长,但我国经济总量维持着平稳增长,且地产投资对经济增长的影响在 逐步减弱。从直接影响来看,今年一季度我国房地产开发投资累计同比 ) 乐吴让莽 2025年07月11日 证券分析师 芦哲 执业证书:S0600524110003 luzhe@dwzq.com.cn 证券分析师 李昌萌 执业证书:S0600524120007 lichm@dwzq.com.cn 证券分析师 刘子博 执业证书:S0600524120014 liuzb(@dwzq.com.cn 相关研究 《6 月超预期非农令市场降息预期延 后至9月》 2025-07-06 《政府债融资多增或推升 6月社融增 增速录得-9.9%,较去年全年的-10.6%小幅收窄,对经济增长的影响也由 去年全年的-0.9%降至了-0.7%;从间接影响来看,一方面,地产及其拉 动相关行业的增加值占 GDP ...
科新机电半年净利预降近五成:技术瓶颈致产出受阻,光伏回款风险拖累业绩
Shen Zhen Shang Bao· 2025-07-11 06:58
作为国内高端过程装备制造领域的重要企业,科新机电主营业务覆盖核电军工、石油炼化、天然气化工 等领域。2024年年报显示,公司高端过程装备制造业收入占比达99.03%。此次业绩预告中特别提及的 光伏设备应收账款问题,反映出新能源业务板块的波动性风险正在显现。 科新机电2025年一季度实现总营收3.28亿元,同比增长18.96%。成本端营业成本2.30亿元,同比增长 21.64%,费用等成本3130.68万元,同比增长3.39%。营业总收入扣除营业成本和各项费用后,归母净利 润4828.37万元,同比增长1.42%。一季度净利润虽同比微增1.42%,但环比2024年四季度下降约15%。 半年报预告数据意味着二季度单季净利润仅172万至672万元,环比骤降86%-96%。 报告期内,非经常性损益对归属于上市公司股东的净利润的影响金额约为374万元。 7月10日晚间,四川科新机电股份有限公司(以下简称"科新机电"或"公司")发布2025年半年度业绩预 告。公司预计半年度归属于上市公司股东的净利润约5000万元-5500万元,比上年同期下降 43.29%-48.44%,扣除非经常性损益后的净利润约4626万元-5126 ...