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近日,广发基金管理公司发布了2012年3月份的宏观策略报告。报告对股票市场、债券市场的运行趋势进行了系统的分析和展望,并就3月份的投资提出了建设性的资产配置策略。广发基金认为,前期支撑市场的主要有两个因素:
Recently, GF Fund Management Corporation released the March 2012 macro strategy report. The report systematically analyzes and forecasts the trends in the stock and bond markets and proposes a constructive strategy for asset allocation in March. GF Fund believes that the early prop up the market there are two main factors: