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进入到2011年下半年,A股市场将如何演绎?投资机会在哪里?可能是很多投资者很关心的问题。目前许多投资者对市场有悲观情绪,担心国内国外系列负面因素会压制A股市场。从国内来看,高企的6月通胀数据使投资者担心政策紧缩会继续加码。国际方面,由于意大利债务危机加剧使全球投资者对欧债问题预期恶化,而同时美国6月失业率上升及美债违约担忧升级也加剧了国内投资者对海外经济的悲观情绪。
Into the second half of 2011, A-share market will be how to interpret? Investment opportunities where? May be many investors are very concerned about the issue. At present, many investors are pessimistic about the market, worried about the domestic and foreign series of negative factors will suppress the A-share market. From a domestic perspective, the high June inflation data worried investors that the policy tightening will continue to be overweight. Internationally, due to the worsening debt crisis in Italy, global investors’ expectations of the European debt crisis have worsened. At the same time, the unemployment rate in the United States in June and the escalation in the default of U.S. debt have also aggravated the pessimism of domestic investors over the overseas economy.