施羅德環球基金系列-環球股債增長收息基金
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多元基金策略,助力市波
光大新鸿基· 2025-11-17 05:39
Group 1 - The report highlights the significant changes in the investment atmosphere and asset trends due to the impending end of the U.S. government shutdown, emphasizing the importance of understanding macroeconomic dynamics for effective asset allocation strategies [1] - Recent data from ADP indicates that the private sector has been cutting over 10,000 jobs weekly for four consecutive weeks, suggesting a cooling labor market, which contrasts sharply with previous optimistic expectations regarding employment recovery [1] - The weakening of the U.S. dollar, influenced by soft ADP data, has led to increased volatility in non-dollar currencies and commodity markets, while also causing a pullback in safe-haven assets like gold after a period of high fluctuations [1] Group 2 - Investors are adjusting their strategies in response to rising expectations of interest rate cuts, which have led to a decline in bond market yields, enhancing the appeal of conservative investment tools [2] - Gold remains a crucial asset for inflation protection and risk diversification despite short-term profit-taking pressures, indicating its long-term value [2] - The report suggests considering the Schroders Global Fund series, specifically the Global Equity and Bond Growth Income Fund, which aims to provide a balanced and stable investment option by actively seeking opportunities across global markets [2]