本文聚焦強積金投資策略,提出五大要點:分散配置、慧選亞洲與全球股票、分階段減持美日股、留意港股估值及政策風險、以低費 DIS 策略分散風險,力求在美日股波動中尋求穩健回報。
Abstract: This article offers MPF investors five practical tips: diversify across assets, selectively overweight Asian and global stocks, phase reductions in U.S. and Japanese equities, monitor Hong Kong valuations and policy risks, and use low-cost DIS strategies to diversify risk, aiming for steady returns amid rate moves and market volatility.