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整体判断,我们认为6月份A股市场止跌回升,振荡向上的概率偏大,6月份沪深300指数的核心波动区间有望维持在3400~4000点。在此情况下,不同行业和板块的机会,将更多表现为一种“此起彼伏”的状态。
Overall judgments, we believe that in June the A-share market rebounded, the probability of oscillation up too large, in June the Shanghai and Shenzhen 300 index core volatility interval is expected to remain at 3,400 to 4,000 points. In this case, the opportunities of different industries and sectors will show more as a state of “one after another.”