分化,已然是当下市场的常态。一端是科技股在高换手与高波动中反复拉锯,每一轮涨跌都牵动着紧绷的神经;另一端是被寄望接棒的价值股,反弹、回调接连上演,让试图坚守的人生出几分迟疑。市场难以再靠押注一个方向而轻松胜出,这种无处不在的“拧巴感”,让投资者进退失据。 也是在此时,一批回撤控制能力强、净值持续上扬的主动权益基金进入大众视野,博时裕益灵活配置混合基金便是其中之一。这样的产品如何练就超额收益?答案...
Source Link分化,已然是当下市场的常态。一端是科技股在高换手与高波动中反复拉锯,每一轮涨跌都牵动着紧绷的神经;另一端是被寄望接棒的价值股,反弹、回调接连上演,让试图坚守的人生出几分迟疑。市场难以再靠押注一个方向而轻松胜出,这种无处不在的“拧巴感”,让投资者进退失据。 也是在此时,一批回撤控制能力强、净值持续上扬的主动权益基金进入大众视野,博时裕益灵活配置混合基金便是其中之一。这样的产品如何练就超额收益?答案...
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