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在A股断崖式暴跌,系统性风险被大大释放,场外资金观望意识浓厚,房产过剩,金融产品风险加大的情况下,大量闲余资金似乎找不到适当的投资方式,出现了“资产配置慌”的情况。如何为闲置资金找到相对安全的投资渠道,进行合理的投资资产配置,成为社会关注的焦点。本文试图分析资产配置荒产生的原因,结合当前经济形势探讨资产配置荒下的投资策略。
In a cliff cliff collapse, the systematic risk has been greatly released, strong awareness of off-shore capital wait-and-see funds, excess real estate, financial products increased risk situations, a lot of spare money seems to find an appropriate way to invest, there “ Asset allocation panic ”situation. How to find relatively safe investment channels for idle funds and allocate reasonable investment assets have become the focus of the society. This article attempts to analyze the causes of asset allocation shortage, combined with the current economic situation to explore the asset allocation shortage of investment strategy.