金吾财讯 | 中信证券发研报指,上周资本市场波动率加大,银行股呈相对收益。从已出银行年报和已出1季度预增情况看,银行基本面格局符合市场预期。
展望2025年,资本市场或受中美关税、国内对冲政策预期差、经济运行等多重因素交织影响,波动率或将持续偏高。在此背景下,银行股受益其财务数据平稳、分红价值确定、估值波动偏低等特征,全年相对价值和绝对价值乐观,建议增配板块。
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