智通财经APP获悉,渣打北亚区投资总监郑子丰估计,从现在到4月初整个环球股市可能陷入动荡期。他对中国股票的看法仍为“中性”,但建议可从两方面加仓:一是恒生科技指数成分股,预计电商、软硬件行业可在不同程度上受益于DeepSeek及AI广泛应用的时代。随着大型科网股大力投资AI,这提升了该行对中概股在AI领域可以得益的信心。二是防御性较高的高息非银国企H股,并建议可趁整固期配置。当市场步入动荡阶段时,高息股可给予较大投资信心。
美国总统特朗普将于4月初宣布对特关税,“美国优先贸易政策”报告也将同步出炉,市场不确定性逐渐增加,加上市场担忧美国经济恐步入滞胀。郑子丰表示,基于关税风险提高,美元跌幅有限,资金未必会再大幅流向非美市场,市场可能更重视均衡的配置。而港股经过一段时间大涨后,已步入整固期。
郑子丰还指出,中资股的业绩虽然不差,但注意到部分科技股业绩即使超预期,股价相对平淡,可能反映已“升过头”。港股短期向下调整机会大,但如果能够维持在22500至24500点之间整固,一旦香港及内地股票盈利好于预期,料可继续跑赢其他环球市场。
Disclaimer: Investing carries risk. This is not financial advice. The above content should not be regarded as an offer, recommendation, or solicitation on acquiring or disposing of any financial products, any associated discussions, comments, or posts by author or other users should not be considered as such either. It is solely for general information purpose only, which does not consider your own investment objectives, financial situations or needs. TTM assumes no responsibility or warranty for the accuracy and completeness of the information, investors should do their own research and may seek professional advice before investing.