渣打银行(Standard Chartered)将对中国市场的立场调整为更偏“风险偏好”,适用于2026年下半年。
据 NS3 报道,该行维持对科技与通信服务板块的“增持”评级,并将必需消费品板块从原评级下调至“减持”。
渣打下半年看多中国:下调必需消费品
2026-06-30 06:27:27
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