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管住手不瞎操作
04-25
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管住手不瞎操作
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2024-12-06
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管住手不瞎操作
2024-07-08
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管住手不瞎操作
2016-01-01
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01-27
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01-27
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2024-08-28
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管住手不瞎操作
2024-08-16
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2024-08-14
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21:57","market":"us","language":"zh","title":"全球最大主权财富基金公布投资清单:去年大笔增持中国科技公司","url":"https://stock-news.laohu8.com/highlight/detail?id=1137806997","media":"新浪财经","summary":"持有的中国股票市值增加了72.41亿美元。","content":"<html><head></head><body><p style=\"text-align: left;\"> 中国基金报记者 吴娟娟</p><p style=\"text-align: left;\"> 2025年1月29日, 全球最大主权财富基金——挪威政府全球养老基金公布截至2024年底的投资回报情况。数据显示,2024年,挪威政府全球养老基金的股票投资回报率为18%。同期,固定收益投资回报率为1%,非上市房地产投资回报率为-1%,非上市可再生能源基础设施的回报率为-10%。</p><p style=\"text-align: left;\"> 2024年,基金整体录得投资回报率13%,折合25110亿挪威克朗,约相当于16036.5 亿元人民币。截至2024年底,基金的市值约折合12.6083万亿元人民币。</p><p style=\"text-align: left;\"> 2024年,挪威政府全球养老基金对中国互联网、科技公司的持仓市值显著增加,对腾讯、阿里巴巴、小米等公司股票的持仓市值增加幅度尤其显著。</p><p style=\"text-align: left;\"> <strong>大赚超万亿元,但跑输基准</strong></p><p style=\"text-align: left;\"> 尽管录得了25110亿挪威克朗的投资回报,但是,2024年基金跑输基准。</p><p style=\"text-align: left;\"> 2024年,挪威政府全球养老基金的回报率较基金选择的基准低45个基点。</p><p style=\"text-align: left;\"> “由于股市表现非常强劲,基金在2024年取得了强劲回报,特别是美国科技股表现出色。”挪威央行投资管理公司首席执行官Nicolai Tangen表示。</p><p style=\"text-align: left;\"> 2024年,挪威克朗对多种主要货币贬值,货币波动使基金价值增加了10720亿挪威克朗。以挪威克朗计,2024年基金录得的投资回报创纪录。</p><p style=\"text-align: left;\"> 截至2024年底,基金中71.4%的资产投资于股票,26.6%的资产投资于固定收益,1.8%的资产投资于非上市房地产,0.1%的资产投资于非上市可再生能源基础设施。</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/1450b1e3bb3c10cf10dfd3cbbf4cfa2b\" title=\"\" tg-width=\"550\" tg-height=\"303\"/></p><p style=\"text-align: left;\"> <strong>中国投资占基金所有投资比例提升</strong></p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/4a4061a2232345b50ddcac4acb109617\" title=\"\" tg-width=\"550\" tg-height=\"201\"/></p><p style=\"text-align: left;\"> 截至2024年底,基金中国证券(主要为股票,含少量债券投资)持仓总市值为407.30亿美元。2023年底,基金中国证券(主要为股票,含少量债券投资)持仓总市值为334.89亿美元。<strong>2024年,基金持有的中国股票市值增加了72.41亿美元。</strong></p><p style=\"text-align: left;\"> 持仓市值增加的原因包括证券价格变动或者增持、调仓换股等。截至2024年底,基金对中国的投资占基金所有投资的比例为2.3%,较2023年底增加0.2个百分点。2024年,挪威政府全球养老基金削减了中国证券的数目。截至2024年底,其持有的中国证券数目为653个,较2023年底的712有所减少。</p><p style=\"text-align: left;\"> <strong>对小米集团持仓市值增加176%</strong></p><p style=\"text-align: left;\"> 记者梳理挪威央行投资管理公司官网发现,截至2024年底,基金中国持仓的前20大重仓股包括腾讯控股、阿里巴巴、美团、拼多多、建设银行、小米集团、携程、京东、工商银行、招商银行、比亚迪、宁德时代、满帮、中国平安、新东方、网易、中国银行、美的、贝壳等。 </p><p style=\"text-align: left;\"> 截至2024年底,基金对腾讯控股持仓市值高达66.72亿美元(约折合479.61亿元人民币)较2023年底增加27.94亿美元,增加幅度为72%。截至2024年底,腾讯控股是其中国持仓的第一大重仓股。</p><p style=\"text-align: left;\"> 2024年,在持仓中国的前十大重仓股中,基金对拼多多的持仓市值小幅缩水,基金对其他股票的持仓市值均有所增加。<strong>例如,基金对美团的持仓市值增幅超过100%,对小米集团的持仓市值增加近176%,对携程的持仓市值增加幅度约为100%,对满帮的持仓市值增加幅度超过500%。</strong></p><p style=\"text-align: left;\"> <strong>CEO:逆向投资者应卖美股科技股,加仓中国</strong></p><p style=\"text-align: left;\"> 挪威政府全球养老基金首席执行官Nicolai Tangen日前在达沃斯论坛上表示,<strong>逆向投资者应抛售美国科技股和私募债,增持中国资产。</strong>“最好的做法总是与大家背道而驰”。他认为,<strong>当前逆向做法就是抛售美国科技股,买入中国资产;抛售私募债,买入不那么受欢迎的资产。</strong>他承认,这样做存在困难,“逆向投资意味着,一段时间内,你的投资业绩可能会承压。”</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/7488db6e6c224cb53950035c8da66253\" title=\"\" tg-width=\"550\" tg-height=\"358\"/></p><p style=\"text-align: left;\"> 资料显示,Nicolai Tangen于2020年9月加入挪威央行投资管理公司(NBIM),后者为挪威政府全球养老基金的管理机构。此前,他于2005年创立欧洲知名对冲基金AKO Capital。</p><p style=\"text-align: left;\"> Nicolai Tangen敦促组合投资经理持长远眼光。他认为,未来几年,通胀或继续对投资回报率产生影响。Nicolai Tangen在达沃斯论坛上还表示,投资者应密切关注美国长期限债券收益率,后者为通胀压力的明确指标。挪威政府全球养老基金在全球持有约9000家公司的股票。该主权基金成立于1990年代,管理挪威的石油财富,投资全球市场。</p><p style=\"text-align: left;\"> 在Nicolai Tangen的领导下,挪威投资管理公司在环境、社会和治理(ESG)问题上采取了更强硬的立场。例如,其选择在部分公司年度股东大会前披露基金的投票意向,以对其他股东施加影响。Nicolai Tangen表示,尽管ESG投资在美国遭遇冲击,但是它依然是挪威和该主权基金的重点。</p></body></html>","source":"XLCJ","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>全球最大主权财富基金公布投资清单:去年大笔增持中国科技公司</title>\n<style 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margin: 0;line-height: 11px;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\n全球最大主权财富基金公布投资清单:去年大笔增持中国科技公司\n</h2>\n\n<h4 class=\"meta\">\n\n\n2025-01-29 21:57 北京时间 <a href=https://finance.sina.com.cn/roll/2025-01-29/doc-inehschu5464308.shtml><strong>新浪财经</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>中国基金报记者 吴娟娟 2025年1月29日, 全球最大主权财富基金——挪威政府全球养老基金公布截至2024年底的投资回报情况。数据显示,2024年,挪威政府全球养老基金的股票投资回报率为18%。同期,固定收益投资回报率为1%,非上市房地产投资回报率为-1%,非上市可再生能源基础设施的回报率为-10%。 2024年,基金整体录得投资回报率13%,折合25110亿挪威克朗,约相当于16036.5...</p>\n\n<a href=\"https://finance.sina.com.cn/roll/2025-01-29/doc-inehschu5464308.shtml\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"https://community-static.tradeup.com/news/616e6048fa93928ddcdf554385646b52","relate_stocks":{},"source_url":"https://finance.sina.com.cn/roll/2025-01-29/doc-inehschu5464308.shtml","is_english":false,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1137806997","content_text":"中国基金报记者 吴娟娟 2025年1月29日, 全球最大主权财富基金——挪威政府全球养老基金公布截至2024年底的投资回报情况。数据显示,2024年,挪威政府全球养老基金的股票投资回报率为18%。同期,固定收益投资回报率为1%,非上市房地产投资回报率为-1%,非上市可再生能源基础设施的回报率为-10%。 2024年,基金整体录得投资回报率13%,折合25110亿挪威克朗,约相当于16036.5 亿元人民币。截至2024年底,基金的市值约折合12.6083万亿元人民币。 2024年,挪威政府全球养老基金对中国互联网、科技公司的持仓市值显著增加,对腾讯、阿里巴巴、小米等公司股票的持仓市值增加幅度尤其显著。 大赚超万亿元,但跑输基准 尽管录得了25110亿挪威克朗的投资回报,但是,2024年基金跑输基准。 2024年,挪威政府全球养老基金的回报率较基金选择的基准低45个基点。 “由于股市表现非常强劲,基金在2024年取得了强劲回报,特别是美国科技股表现出色。”挪威央行投资管理公司首席执行官Nicolai Tangen表示。 2024年,挪威克朗对多种主要货币贬值,货币波动使基金价值增加了10720亿挪威克朗。以挪威克朗计,2024年基金录得的投资回报创纪录。 截至2024年底,基金中71.4%的资产投资于股票,26.6%的资产投资于固定收益,1.8%的资产投资于非上市房地产,0.1%的资产投资于非上市可再生能源基础设施。 中国投资占基金所有投资比例提升 截至2024年底,基金中国证券(主要为股票,含少量债券投资)持仓总市值为407.30亿美元。2023年底,基金中国证券(主要为股票,含少量债券投资)持仓总市值为334.89亿美元。2024年,基金持有的中国股票市值增加了72.41亿美元。 持仓市值增加的原因包括证券价格变动或者增持、调仓换股等。截至2024年底,基金对中国的投资占基金所有投资的比例为2.3%,较2023年底增加0.2个百分点。2024年,挪威政府全球养老基金削减了中国证券的数目。截至2024年底,其持有的中国证券数目为653个,较2023年底的712有所减少。 对小米集团持仓市值增加176% 记者梳理挪威央行投资管理公司官网发现,截至2024年底,基金中国持仓的前20大重仓股包括腾讯控股、阿里巴巴、美团、拼多多、建设银行、小米集团、携程、京东、工商银行、招商银行、比亚迪、宁德时代、满帮、中国平安、新东方、网易、中国银行、美的、贝壳等。 截至2024年底,基金对腾讯控股持仓市值高达66.72亿美元(约折合479.61亿元人民币)较2023年底增加27.94亿美元,增加幅度为72%。截至2024年底,腾讯控股是其中国持仓的第一大重仓股。 2024年,在持仓中国的前十大重仓股中,基金对拼多多的持仓市值小幅缩水,基金对其他股票的持仓市值均有所增加。例如,基金对美团的持仓市值增幅超过100%,对小米集团的持仓市值增加近176%,对携程的持仓市值增加幅度约为100%,对满帮的持仓市值增加幅度超过500%。 CEO:逆向投资者应卖美股科技股,加仓中国 挪威政府全球养老基金首席执行官Nicolai Tangen日前在达沃斯论坛上表示,逆向投资者应抛售美国科技股和私募债,增持中国资产。“最好的做法总是与大家背道而驰”。他认为,当前逆向做法就是抛售美国科技股,买入中国资产;抛售私募债,买入不那么受欢迎的资产。他承认,这样做存在困难,“逆向投资意味着,一段时间内,你的投资业绩可能会承压。” 资料显示,Nicolai Tangen于2020年9月加入挪威央行投资管理公司(NBIM),后者为挪威政府全球养老基金的管理机构。此前,他于2005年创立欧洲知名对冲基金AKO Capital。 Nicolai Tangen敦促组合投资经理持长远眼光。他认为,未来几年,通胀或继续对投资回报率产生影响。Nicolai Tangen在达沃斯论坛上还表示,投资者应密切关注美国长期限债券收益率,后者为通胀压力的明确指标。挪威政府全球养老基金在全球持有约9000家公司的股票。该主权基金成立于1990年代,管理挪威的石油财富,投资全球市场。 在Nicolai Tangen的领导下,挪威投资管理公司在环境、社会和治理(ESG)问题上采取了更强硬的立场。例如,其选择在部分公司年度股东大会前披露基金的投票意向,以对其他股东施加影响。Nicolai Tangen表示,尽管ESG投资在美国遭遇冲击,但是它依然是挪威和该主权基金的重点。","news_type":1,"symbols_score_info":{}},"isVote":1,"tweetType":1,"viewCount":78,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":343617340858400,"gmtCreate":1724920060189,"gmtModify":1724920061699,"author":{"id":"49292430015452","authorId":"49292430015452","name":"管住手不瞎操作","avatar":"https://static.tigerbbs.com/8e46b3e3d0efdd6ce6be4cf48f9424e8","crmLevel":2,"crmLevelSwitch":1,"followedFlag":false,"idStr":"49292430015452","authorIdStr":"49292430015452"},"themes":[],"htmlText":"<a 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