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“反内卷” 相关政策尤为关键，在宏观经济总量增速保持平稳的背景下，价格指数（尤其是 PPI）对企业盈利的边际影响显著增强，“反内卷” 政策通过规范行业竞争秩序、优化供需结构，有望推动相关行业价格水平回升与盈利修复，有可能成为四季度市场的重要政策红利点。另一方面，要警惕外部环境可能会对国内带来的压力，该压力可能来源于美股等外围市场或因美联储货币政策调整、经济数据不及预期等因素出现大幅波动，也可能来源于大国博弈强度再度加剧，这些外部因素均可能通过情绪传导与资金流动，加剧国内相关映射板块（如科技股）的调整力度，进而加大短期市场波动风险。","lastUpdated":"2026-03-09T14:06:25.626Z","fund":{"_id":3000000023232,"__csrcFundId":14766,"stockCode":"023232","masterFundShortName":"国泰合利6个月持有混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":23232,"currency":"CNY","masterFundFlag":1,"status":"normal","exchange":"jj","shortName":"国泰合利6个月持有混合(023232)","lastUpdated":"2026-05-01T03:45:56.091Z","name":"国泰合利6个月持有期混合型证券投资基金","pinyin":"gthl6gycyqhhxzqtzjj","fundCollectionId":4000050010000,"inceptionDate":"2025-03-13T16:00:00.000Z","setUpAssetScale":404927342.18,"setUpDate":"2025-03-13T16:00:00.000Z","setUpShares":404927342.18,"managers":[{"stockCode":"db20809231","stockType":"fund_manager","exchange":"fm","tickerId":325217460,"name":"程瑶"}]},"announcement":{"linkText":"国泰合利6个月持有期混合型证券投资基金2025年第3季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1377212","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed3e17fea5b3eb0542702","date":"2025-06-29T16:00:00.000Z","stockId":3000000023232,"sao":"2025年上半年，宏观经济走势平稳，一二季度GDP增速分别录得5.4%及5.2%，上半年GDP增速5.3%，高于年初既定的5%的经济增长目标，上半年稳健的经济数据为实现全年经济增长目标奠定了良好的基础。从结构来看，上半年经济支撑力主要来自于出口和消费，以及受益于出口和消费拉动的制造业投资，而传统周期相关的地产基建是经济主要拖累项。而出口的高增速来源于关税预期下的抢出口行为，消费则受益于补贴政策，经济内生增长动能依旧偏弱，经济增长的可持续性存在一定不确定性。政策层面，4月初中美“关税战”超预期升级，全球宏观经济预期波动，4月中央政治局会议，稳增长政策加码，宏观预期再次趋于稳定。货币政策端，年初受银行缺负债以及银行息差压力制约，资金面持续偏紧，二季度资金面逐步转松，央行在5月份调降政策利率10BP，资金利率下行。权益市场表现来看，一季度宏观数据向好，deepseek大模型发布，中国科技的竞争力受到全球关注，权益市场上涨，科技板块领涨。二季度初，权益市场受“关税战”冲击，大幅下跌。随着中央汇金、央行、国资委等发声称将坚决维护资本市场，A股快速企稳。5月中美双方针对关税达成重要共识并发布《中美日内瓦经贸会谈联合声明》，市场风险偏好得到提振，指数企稳回升。上半年上证指数、沪深300、中证500、创业板指分别上涨2.76%、0.03%、3.31%、0.53%。债券市场，一季度受资金面持续偏紧以及权益市场上涨扰动，利率整体上行。二季度初，“关税战”冲击下，利率快速下行至年内低点，随后资金面持续维持偏松状态，利率整体低位震荡。上半年，1年期国债上行26BP至1.34%，10年期国债下行3BP至1.65%。组合在上半年整体保持中性偏积极的权益仓位，结构上均衡配置在科技、化工、消费、高股息等方向。债券仓位方面，整体维持中性久期水平，在利率波动中适当参与了超长债的小波段交易。","declarationDate":"2025-07-18T16:00:00.000Z","lastUpdated":"2026-03-09T14:06:25.623Z","mo":"展望下半年，抢出口和消费政策对经济的支撑会有一定走弱，但GDP预计还能保持在5%以上。稳增长的政策预计三季度都以落地4月的一揽子政策为主，加码的概率偏低；四季度若经济下行压力加大，稳增长政策预计会有一定加码。结构表现相较上半年有所切换，抢出口和消费补贴效果退坡，地产领先指标的土地购置和新开工降幅开始收窄，同时三季度专项债发行提速基建投资预计有所改善。此外稳增长预期始终存在，对宏观经济预期起到托底作用。流动性来看，下半年流动性有望延续宽松，三季度政府债发行加快，央行有望通过降准投放流动性；9月美联储降息后，国内有望跟随降息。上半年银行存款利率进一步下调，四大行1年期存款利率降至1%以下，理财保险收益率同步下行。负债成本下行一方面改善银行息差压力，另一方面，加大了居民资产配置向权益类资产倾斜的意愿。此外，促进通胀温和回升是2025年重点政策目标之一。25年6月PPI同比-3.6%、连续4月降幅走扩，主要是国内需求仍较疲弱，煤炭、钢材、水泥等行业价格降幅扩大。7月中央财经委员会强调要“依法依规治理企业低价无序竞争、推动落后产能有序退出”，下半年PPI同比降幅有望逐步收窄。下半年宏观预期偏弱，但流动性依然宽松，权益市场依然存在上行机会。配置方向：1）看好主题投资的机会，积极关注“稳定币”、“反内卷”、“AI产业链”等主题机会。2）顺周期个股估值、预期、位置均在低位，下半年地产降幅逐步收窄，基建投资逐步改善，叠加价格改善预期，底部顺周期个股存在配置机会。3）以银行为主的红利类公司，依然作为固收加基金获得绝对收益、平衡组合波动率的资产类型。债券资产，总量偏弱和流动性宽松的组合下，利率整体风险不大，下半年预计维持震荡走势，坚持信用为主，震荡区间做小波段的投资策略。转债资产，权益市场风险可控的环境下，转债资产仍具有转股的期权价值，当前转债市场整体溢价率位于历史高位，短期配置性价比较低，关注溢价率回落后的机会。","fund":{"_id":3000000023232,"__csrcFundId":14766,"stockCode":"023232","masterFundShortName":"国泰合利6个月持有混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":23232,"currency":"CNY","masterFundFlag":1,"status":"normal","exchange":"jj","shortName":"国泰合利6个月持有混合(023232)","lastUpdated":"2026-05-01T03:45:56.091Z","name":"国泰合利6个月持有期混合型证券投资基金","pinyin":"gthl6gycyqhhxzqtzjj","fundCollectionId":4000050010000,"inceptionDate":"2025-03-13T16:00:00.000Z","setUpAssetScale":404927342.18,"setUpDate":"2025-03-13T16:00:00.000Z","setUpShares":404927342.18,"managers":[{"stockCode":"db20809231","stockType":"fund_manager","exchange":"fm","tickerId":325217460,"name":"程瑶"}]},"announcement":{"linkText":"国泰合利6个月持有期混合型证券投资基金2025年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1347969","linkType":"PDF","source":"csrc_pdf"}}]}