In the evening of 12.13, three big news were issued: margin financing and securities lending, pension asset management and financial risk prevention. Where is the A-share road?In the evening of 12.13, three big news were issued: margin financing and securities lending, pension asset management and financial risk prevention. Where is the A-share road?
In recent years, there has been a very obvious phenomenon, that is, the regular good news is always high and low, or low and low, while releasing heavy good news, while the stock market is diving sharply on the other side, which is a great blow to market confidence. Therefore, all kinds of funds should have backbone, and the stock market should dare to do more when major benefits come, instead of making more profits while the stock market plummets, which is not conducive to the healthy development of the stock market!3. He Lifeng: We should effectively prevent and resolve financial risks and external shocks in key areas in an orderly manner to promote the stable and healthy development of capital markets and other fields.Nine departments, including the People's Bank of China, jointly issued the Guiding Opinions on Financial Support for Chinese-style Old-age Care Services for the High-quality Development of the Silver-haired Economy, encouraging old-age asset management products to allocate equity, stocks, bonds and other assets, and increasing the proportion of equity assets.
The latest news! Today is the evening of December 13th, and I'm about to have a rest. The news is a bit "handsome", which makes me have mixed feelings. What's going on? Three important news broke out in the securities market, one of which is particularly important, or will affect the market trend next week? Please be sure to take a look and give some solemn reminders to 300 million investors:In the news, it is expected to bring real incremental funds to the A-share financial market, which is beneficial for the stock market to continue its upward trend in 2025.3. He Lifeng: We should effectively prevent and resolve financial risks and external shocks in key areas in an orderly manner to promote the stable and healthy development of capital markets and other fields.