渣打:恒指未来12个月目标25500点

格隆汇
30 Jun

渣打财富方案首席投资办公室发布2025年下半年市场展望,看好中国及韩国市场,美元弱促使更多资金流入新兴市场,北京打出“稀土”牌遏制贸易战升级,中国股票风险溢价正消退。 渣打北亚区投资总监郑子丰表示,中东紧张局势缓和,加上中美同意贸易框架细节,建议超配环球股票,看好亚洲(日本以外)地区,当中尤其偏好中国及韩国股票。中国股票方面,相对看好离岸股市。 他指出,未来12个月,恒生指数有望挑战其基本情境预测24000-26000点区间中的较高水平;如果内地进一步加强财政和货币刺激措施,并且在扭转物价疲弱方面取得进展,可能推动大市上试其乐观情境预测26000-28000点。港股目前面临的下行风险,包括中东地缘政治风险未明朗、美国关税、通胀、债务或赤字相关的担忧可能加剧。 渣打财富表示,未来12个月,恒指目标为25500点;标普500指数目标为6410点;纳斯特100指数目标为23650点;泛欧50指数目标为5550点。

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