证券日报头版头条:市场调整之时如何面对波动?怎样进一步凝聚信心?

格隆汇
Yesterday
证券日报刊文称,近期A股波动加剧,加之受外围多重因素传导,市场忧虑情绪有所增加,一些“看空小作文”也开始在网络平台冒头,对投资者情绪和市场秩序造成了一定干扰。市场在调整之时应如何面对波动?外部因素的实际影响如何辨析?怎样进一步凝聚信心?带着这些问题,记者采访了多位市场资深人士。各方明确表示,无惧波动,中国资产安全与科技创新是市场内在稳定性的有力支撑。近期,市场的担忧主要来自美债风险的加剧。前不久,美债总规模突破40万亿美元关口,市场对美国财政可持续性的担忧加剧,美债收益率持续上行,美国30年期国债收益率一度涨至5.3%,创近19年新高。对此,市场专家表示,我国利率政策始终坚持“以我为主”的主基调,美债危机并不改变我国低利率且流动性充裕的货币环境。分析师进一步提到,外资机构持有A股流通市值的占比还不到5%,即便美债收益率上行可能对全球资本市场带来流动性的挤压,但对中国资本市场的影响仍然相当有限。

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