
A-share Assets Show Strong Resilience, Allocation Further Focuses on Certainty in April
Over the past week, the three major A-share indices showed a volatile trend of declining first and then rising, with accelerated sector rotation and significant characteristics of existing funds gaming each other. In response, this week's brokerage strategy outlook research reports analyze that geopolitical conflicts in the Middle East remain the core disruptive factor for global markets in the near term. In the short term, the repercussions have not completely subsided, and the market tone will continue to be dominated by consolidation and digestion. However, from a medium to long-term perspective, the adjustments in the A-share market have been relatively sufficient, and the inherent certainty of the Chinese economy and Chinese manufacturing is continuously highlighted, which is expected to support the resilient performance of the A-share market. (Shanghai Securities News)

