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上周以来,连续两项利好政策的出台对股市效果明显,前期的低迷格局和积弱的市场信心发生了极大的改观,3000点的政策底逐渐为市场所认可,未来市场有望延续反弹行情。在经历了上周四的普涨之后,周五股市随即出现了分化,券商、钢铁、地产等板块维持强势,而食品、造纸、石化等行业略显低迷,未来这种格局还将延续下去,如何选择此轮上涨的急先锋,成为投资者最为关注的问题。从当前机构的观点和市场表现来看,一些前期价值被低估、超跌严重
Since last week, the introduction of two favorable policies in a row has shown obvious effect on the stock market. The downturn in the previous period and the weak confidence in the market have undergone tremendous changes. The end of the policy of 3000 points is gradually recognized by the market and the market is expected to continue to rebound in the future . After experiencing the general rise last Thursday, the stock market immediately saw a divergence on Friday. Brokers, steel and real estate sectors remained strong while the sectors such as food, paper and petrochemical industries were slightly depressed. The pattern will continue in the future, How to choose this rising vanguard has become the most concern of investors. From the current institutional point of view and market performance, some of the early value is undervalued, oversold serious