以可持续发展视角关注中国的监管变化
- 中国近期的监管改革符合 "十四五"规划的既定目标,旨在将国家的发展重点转向社会平等和可持续发展。
- 尽管今年以来市场反应偏负面,但中国股市的长期基本面保持稳定,分析师对长期盈利增长的普遍预期相对强劲。
- 在基本面之外,我们研究了 ESG 数据是否可以帮助投资者评估行业和证券对某些法规的脆弱性,因为投资者试图识别可能的赢家和输家。
None | MSCI 中国 | MSCI 中国 ESG 领导者 | MSCI 中国气候变化 |
回报(长期)* | 7.40% | 12.40% | 7.80% |
年化波动率(长期)* | 20.30% | 21.30% | 20.70% |
回报(短期)** | -12.20% | -9.30% | -11.10% |
年化波动率(短期)** | 25.70% | 30.00% | 26.40% |
ESG 评级(分数)*** | BB (4.2) | BBB (5.0) | / |
社会责任支柱分数*** | 4.8 | 5.1 | / |
碳排放量(二氧化碳当量(吨)/投资额(百万美元))*** | 170 | / | 54 |
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