CSC Financial: Multi-asset allocation is an inevitable trend for the long-term development of "fixed income plus"
CSC Financial's research report points out that looking ahead, multi-asset allocation is an inevitable trend for the long-term development of "fixed income plus." As capital market reform continues to deepen, the multi-asset ecosystem keeps improving, and investor education continues to advance, "fixed income plus" will, while maintaining its steady foundation, continue to broaden the scope of asset allocation and deepen strategy management, upgrading from the primary form of "fixed income base + single enhancement" that focuses on "capital protection" to the mature form of "multi-asset coordination and full-cycle volatility management." Multi-asset allocation in the context of "fixed income plus" still faces unique constraints, but optimizing portfolios through an asset allocation framework remains the core path to breaking through the low-interest-rate dilemma.
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