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市场运行在震荡调整中,高估值对于部分行业与个股的股价构成压力,我们的资产配置将围绕低估值展开,从而寻求投资的稳健性。
Market operation in the shock adjustment, the high valuation for some industries and individual stocks constitute pressure on the stock, and our asset allocation will focus on underestimate the value, so as to seek the robustness of investment.