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由政由政策强力驱动的9.14行情在维持了短暂十余个交易日后,本周三终于遭遇了最猛烈的 重击,当日创出2002年1月以来的单日最大跌幅。虽然跌势超出想象,但对这次即将到来的调整 似乎早在机构的掌控之中。十一前后国内众多机构推出10月及四季度投资策略报告,在我们跟踪 的七家权威机构中,一家中性,其余均已看淡。以下是我们辑录的七家权威机构报告精华。
The 9.14, driven by the policy-driven economy, finally suffered the heaviest blow on Wednesday after sustaining a short span of more than 10 trading days, marking its largest single-day decline since January 2002. Although the downtrend is beyond our imagination, the adjustment to this forthcoming seems to have long been in the hands of the institutions. Around the 11th, many domestic institutions launched the October and the fourth quarter investment strategy reports. Among the seven authorities we track, one is neutral and the rest are bearish. The following is the essence of the seven authoritative reports we have compiled.