高波动债券震荡市投资策略

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【申万固收|利率】“高波动债券震荡市下的投资策略探讨”——申万宏源固收2025年春季线下沙龙第二期邀请函
申万宏源研究· 2025-04-23 03:12
Core Viewpoint - The bond market has experienced a rapid shift in investment sentiment since 2025, moving from cautious to pessimistic and then back to optimistic, influenced by various factors including funding conditions and global trade policies [3]. Group 1: Market Conditions - In January and February, the main issue for the bond market was tight funding, while March saw a relaxation in funding but still required market adjustments [3]. - The implementation of the U.S. de-globalization tariff policy in April has amplified market volatility, leading to a noticeable acceleration in market trends [3]. Group 2: Conference Details - A forum titled "Investment Strategies in a High-Volatility Bond Market" is scheduled for April 24, 2025, from 13:30 to 17:00 at the Crowne Plaza Hotel in Shenzhen [5]. - The agenda includes discussions on various topics such as funding central repositioning, new interpretations of term spreads from a conditional probability perspective, and the outlook for structured monetary policy tools [5].
【申万固收|利率】“高波动债券震荡市下的投资策略探讨”——申万宏源固收2025年春季线下沙龙第二期邀请函
申万宏源研究· 2025-04-23 03:12
以下文章来源于申万宏源固收研究 ,作者申万宏源固收研究 申万宏源固收研究 . 申万宏源证券研究所债券研究部 敬启者: 2025年以来,债券市场投资情绪迅速转向谨慎甚至短期悲观又再度转向乐观。1 -2 月资金紧是债市运行主要矛盾, 3月资金放松但债市 仍自发调整,4月美国逆全球化关税政策再度放大债市波动,市场行情明显加速。本次论坛交流会聚焦"高波动债券震荡市下的投资策略探 讨",盛情邀请您参加! 会议安排 https://m.meetingmeet.com/h5/meetingindex/home/6c9672ddb1a14f36b23f06309af8fbce 诚挚邀请贵单位人员参加会议。为便于会务安排,请您于4月23日前通过扫描页面左下方二维码报名。 上海申银万国证券研究所有限公司 (隶属于申万宏源证券有限公司) 2025年4月 会议时间:2025年4月24日(周四)13:30-17:00 会议地点:深圳好日子皇冠假日酒店(深圳市福田区福华一路28号) 会议邀请函: 会议议程: 4月24日 13:30-17:00 高波动债券震荡市下的投资策略探讨 13:30-14:10 《 资金中枢重定位,曲线牛陡的做多窗 ...