[For Hong Kong Investor Only]
In today’s economic environment, the China consumer market is facing numerous challenges and opportunities. To delve into this complex situation, we have specially invited Ms. Nam Yeejee (Ruby), an ETF strategist from Global X ETFs Hong Kong, along with ETF research analyst Liu Zijun (Lizzy), to share their professional insights on the current status and future outlook of the China consumer industry.
00:57 Policy Interpretation: The program will explore the consumer stimulus policies recently introduced by the Chinese government, including the support measures from the 300 billion special treasury bonds and the old-for-new subsidy policy, assessing their impact on the home appliance industry and the overall consumer market.
03:15 Consumption Tax Reform: We will conduct an in-depth analysis of the new round of consumption tax reform, particularly the implications of shifting the collection stage and the allocation of local tax revenues for the market, especially for high-end liquor companies.
04:38 Current Status and Future Outlook of the China Consumer Industry:
Through these analyses, viewers will gain a comprehensive understanding of the China consumer market, helping investors seize future investment opportunities. We sincerely invite you to watch this episode for professional market insights and analysis.
Learn more about Global X China Consumer Brand ETF (2806) $GX中国消费(02806)$ and its risk factors: https://www.globalxetfs.com.hk/campaign/china-consumer-brand-etf/
#InvestmentReturns #china #FavorablePolicies #ChinaEconomy #GlobalXETFsHongKong #GlobalXETFs #GlobalX #ETF #ETFs #HKETF #BeyondOrdinaryETFs #ETFInvestment
-
This material is intended for Hong Kong investors only. It is not a solicitation, offer, or recommendation to buy or sell any security or other financial instrument. Investment involves risks. Past performance information presented is not indicative of future performance. Investing in the funds may expose to risks (if applicable) including general investment risk, equity market risk, sector/market concentration risk, active/passive investment management risk, tracking error risk, trading risk, risk in investing financial derivative instruments, securities lending risk, distributions paid out of capital or effectively out of capital risk. Investors should refer to the Fund's prospectus for details, including the risk factors. Statements concerning financial market trends or portfolio strategies are based on current market conditions, which will fluctuate. There is no guarantee that these opinions are suitable for all investors and each investor should evaluate their ability to invest for the long term, especially during periods of downturn in the market. Outlook and strategies are subject to change without notice. Issuer: Mirae Asset Global Investments (Hong Kong) Limited. This material has not been reviewed by the Securities and Futures Commission. Copyright © 2024 Mirae Asset Global Investments. All rights reserved.
精彩评论