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影响A股走势的两大核心因素--政策和经济在今年下半年缺乏拐点预期。从最近A股市场的表现来看,欧债、美债的一系列问题成为压制市场向上的力量,但欧盟大部分国家仍然在经济复苏过程之中,且国内通胀压力正在减弱,A股市场目前点位具备投资价值。
The two core factors that affect the A-shares trend - the lack of expected inflection point policies and the economy in the second half of this year. From the recent performance of the A-share market, a series of problems of the European debt and the U.S. debts have become the upward pressure on the market. However, most of the EU countries are still in the process of economic recovery and the domestic inflationary pressures are weakening. The current A-share market Point with investment value.