从超大规模企业到芯片生产商和基础设施推动者,新兴亚洲的公司锚定了一个充满活力的生态系统,投资者在寻求人工智能主题敞口时应当予以考虑。
坦普顿全球投资洞见
新兴亚洲的人工智能:一个充满活力的生态系统
欧洲例外主义正待价而沽
为何欧洲值得再次审视。在欧洲上市的全球性企业、更为务实的政策背景以及不断增长的企业兴趣,正在为愿意超越该地区整体折价审视的投资者创造选择性机会。
全球股票脉搏:人工智能的下一阶段——投资者正在改变投资方向
人工智能热潮的第一阶段回报了那些提供硬件的公司。下一阶段可能青睐那些能够将人工智能投资转化为持久利润的公司。更多内容,请参阅坦普顿全球投资。
气候变化与人工智能:从电力需求到生产力
坦普顿全球投资认为,人工智能在推动气候基础设施需求的同时提升效率,在能源、电网、冷却和工业供应链领域创造了广泛投资机会。
全球股票脉搏:银行——积少成多
在本月的期刊中,全球银行的前景在经历几年困难期后开始改善。坦普顿全球投资就此及其他市场趋势提供其分析。
全球股票脉搏:医疗保健——为潜在复苏布局
在本月的全球股票脉搏中,坦普顿全球投资为医疗保健行业的复苏提供了依据。
全球股票脉搏:冲突与机遇
在本月的全球股票脉搏中,坦普顿全球投资审视了在再武装浪潮快速推进之际被低估的机会。
全球股票脉搏:深入审视能源行业
随着油价和能源股处于较高水平,投资者如何驾驭一个受地缘政治和波动性驱动的行业?本月的全球股票脉搏揭示了为何超越大宗商品价格聚焦公司基本面,可能是在当今不确定的能源格局中释放价值的关键。
价值并非低市盈率:识别被低估企业的更广泛框架
根据坦普顿全球投资,价值投资并非关乎低市盈率和疲弱公司,而是寻找价格与长期潜力之间的错位。本文识别了五种类型的低估,每种都有其解锁潜在回报的催化剂。
全球股票脉搏:增持必需消费品
坦普顿全球投资正加大对必需消费品行业机会的关注,该行业具备吸引力的估值、诱人的股息和潜在的盈利复苏。
美国/伊朗冲突:对全球股票的影响
据坦普顿全球投资,市场在"史诗之怒"行动中的摇摆因素在于升级是否仅限于军事对军事,还是演变为重大且持久的能源及物流中断。
日本2026年展望
日本正在进行一代人以来最重要的经济和公司转型。经济正常化带来的盈利顺风,加上企业改革带来的股东回报提升,支撑了我们对2026年及以后的光明展望。
全球股票脉搏:日本的诱人前景——最新观点
坦普顿全球投资对2026,年日本股票保持信心,因为经济正常化和企业改革扩大的证据持续积累。
全球股票脉搏:油价下跌是建设性前景的一部分
油价下跌、盈利增长以及市场的多元机会:Templeton全球投资在其最新一期《全球股票脉搏》中探讨了这些关键主题。
气候变化展望
经过两年的选举和政策动荡,Templeton全球投资预计2026年将带来一段更加稳定的时期,因为政策、宏观和行业环境现在正趋于更清晰的框架。
亚洲新兴市场的AI:动态生态系统
亚洲新兴市场在人工智能革命中占据了中心舞台。从超大规模企业到芯片制造商和基础设施推动者,该地区的公司锚定了一个充满活力的生态系统,蕴含着众多投资机会。了解更多来自Templeton全球投资的资讯。
亚洲新兴市场的AI:动态生态系统
亚洲新兴市场在人工智能革命中占据了中心舞台。从超大规模企业到芯片制造商和基础设施推动者,该地区的公司锚定了一个充满活力的生态系统,蕴含着众多投资机会。了解更多来自Templeton全球投资的资讯。
新兴市场洞察:中国消费市场的机遇
本期《新兴市场洞察》探讨了在中国经济疲软环境下消费市场领军企业中的机遇。
为何现在是新兴市场
从全球经济的边缘走向中心。Templeton全球投资认为,新兴市场正在推动全球增长,但仍被投资者忽视。
沙特阿拉伯愿景2030:五年进展
Templeton全球投资认为,在沙特王国愿景2030框架推动下的转型,可能为全球投资者提供独特的投资机会。
新兴市场洞察:超越能源价格的视野
能源价格下跌、向半导体的转向以及公司治理改革是本期《新兴市场洞察》中值得关注的三个方面。
印度:尽管近期存在不确定性,结构性吸引力依然存在
美国/伊朗冲突让一些印度股票投资者感到不安,许多人担心能源价格上涨对盈利、通胀和市场情绪构成风险。然而,投资者应牢记,印度的宏观经济脆弱性低于以往周期。Templeton全球投资对此进行了投资案例分析。
新兴市场洞察:韧性市场中不断演变的投资叙事
最新一期《新兴市场洞察》讨论了多个行业的公司,尽管地缘政治压力和投入成本上升持续存在,它们对2026年下半年表达了谨慎乐观。Templeton全球投资重点介绍了他们最近出席一次峰会时的观察。
亚太投资:泛区域方法
Templeton全球投资为亚太投资提出了理由,采用泛区域方法,涵盖动态行业和结构性主题的整个范围。
新兴市场洞察:超越能源价格的视野
美国/伊朗冲突、特朗普与习近平峰会以及货物通过陆路改道,是本期《新兴市场洞察》中我们关注的三个方面。
新兴市场——引领而非新兴
新兴市场持续发展和变化。它们正在从世界制造中心转变为全球创新中心。
新兴市场正处于资本配置的拐点?
鉴于这些市场在新兴市场投资组合中的总权重,坦普尔顿全球投资认为,资本纪律的逐步改善可能对整体指数层面的盈利质量产生显著影响。
新兴市场洞察:韩国洞察与第一季度市场回顾
在最新一期的《新兴市场洞察》中,坦普尔顿全球投资总结了其投资组合经理近期访问韩国的发现,并介绍了对2026年第一季度的市场回顾。
新兴市场洞察:伊朗冲突与关税下调
本月《新兴市场洞察》关注三大要点:“史诗之怒”行动对股权风险溢价和通胀风险的影响,以及美国关税与中国全国人民代表大会。
新兴市场洞察:中国不断演变的消费格局
中国春节、韩国半导体行业及新兴市场盈利是坦普尔顿全球投资在本月《新兴市场洞察》中分析的三大要点。
了解更多
我们的客户受益于坦普尔顿全球投资数十年来应对市场变化的经验,以及我们深植于全球市场的投资专业人士对当地行业和板块的深入了解。
完整英文原文
AI in Emerging Asia: A Dynamic Ecosystem
From hyperscalers to chip producers and infrastructure enablers, companies across emerging Asia anchor a vibrant ecosystem that investors should consider as they seek exposure to the AI theme.
European Exceptionalism on Sale
Why Europe deserves another look. Global businesses with European listings, a more pragmatic policy backdrop and growing corporate interest are creating selective opportunities for investors willing to look beyond the region’s headline discount.
Global Equity Pulse: AI's Next Phase—Investors Are Changing Where They Invest
The first phase of the AI boom rewarded companies that supplied the hardware. The next phase may favor companies that can turn AI investment into lasting profits. Find out more from Templeton Global Investments.
Climate Change and AI: From Power Demand to Productivity
Templeton Global Investments suggests AI is driving demand for climate infrastructure while improving efficiency, creating broad investment opportunities across energy, grids, cooling and industrial supply chains.
Global Equity Pulse: Banks—A Penny Saved
In this month’s issue, the outlook for global banks is starting to improve following a few difficult years. Templeton Global Investments offers its analysis of this and other market trends.
Global Equity Pulse: Health care—positioning for a potential recovery
In this month’s Global Equity Pulse, Templeton Global Investments makes the case for a recovery in the health care sector.
Global Equity Pulse: Conflict and opportunity
In this month’s Global Equity Pulse, Templeton Global Investments examines undervalued opportunities as a wave of rearmament progresses at a rapid pace.
Global Equity Pulse: A closer look at the energy sector
With oil prices and energy stocks at higher level, how can investors navigate a sector driven by geopolitics and volatility? This month’s Global Equity Pulse reveals why looking beyond commodity prices to company fundamentals may be the key to unlocking value in today's uncertain energy landscape.
Value is not a low multiple: A broader framework for identifying undervalued businesses
Value investing isn't about low multiples and weak companies, according to Templeton Global Investments. It's about finding misalignments between price and longer-term potential. This article identifies five types of undervaluations, each with its own catalyst for unlocking potential returns.
Global Equity Pulse: Ramping up on consumer staples
Templeton Global Investments is increasing its focus on opportunities in the consumer staples sector, where compelling valuations, attractive dividends and potential earnings recovery beckon.
US/Iran conflict: global equity impact
For markets, the swing factor in “Operation Epic Fury” is whether escalation stays military-to-military or migrates into significant and prolonged energy + logistics disruption, according to Templeton Global Investments.
Japan 2026 outlook
Japan is undertaking its most significant economic and corporate transformation in a generation. The likely earnings tailwind from economic normalization combined with shareholder return enhancement through corporate reforms anchor our bright outlook for 2026 and beyond.
Global Equity Pulse: Japan’s compelling case—an updated view
Templeton Global Investments maintains its conviction on Japanese equities in 2026, as evidence of economic normalization and broadening corporate reforms continues to build.
Global Equity Pulse: Cheaper oil part of constructive 2026 outlook
Lower oil prices, earnings growth and diverse opportunities in 2026: Templeton Global Investments explores these key themes in its latest Global Equity Pulse.
Climate change outlook 2026
After two years of elections and policy upheaval, Templeton Global Investments expects 2026 to bring a period of greater stability, as the policy, macro and industry conditions now settle into a clearer framework.
AI in Emerging Asia: A Dynamic Ecosystem
Emerging Asia has taken center stage in the AI revolution. From hyperscalers to chip producers and infrastructure enablers, companies across the region anchor a vibrant ecosystem with myriad investment opportunities. Find out more from Templeton Global Investments.
AI in Emerging Asia: A Dynamic Ecosystem
Emerging Asia has taken center stage in the AI revolution. From hyperscalers to chip producers and infrastructure enablers, companies across the region anchor a vibrant ecosystem with myriad investment opportunities. Find out more from Templeton Global Investments.
Emerging Markets Insights: Opportunities in China’s Consumer Market
This month’s Emerging Markets Insights looks into opportunities among consumer market leaders amid a weak economic environment in China.
Why Now Emerging Markets
Moving from the edge to the centre of the global economy. Templeton Global Investments suggests emerging markets are driving global growth but remains overlooked by investors.
Saudi Arabia Vision 2030: 10 years of progress
Templeton Global Investments believes Saudi Arabia’s transformation, driven by the Kingdom’s Vision 2030 framework, could provide global investors with a unique investment opportunity.
Emerging Markets Insights: Looking Beyond Energy Prices
Falling energy prices, a pivot toward semiconductors and corporate governance reform are three things to watch in this month’s Emerging Markets Insights.
India: Structural attractions intact despite recent uncertainty
The US/Iran conflict has unnerved some investors in Indian equities, with many concerned about the risks higher energy prices pose to earnings, inflation and sentiment. However, investors should keep in mind that India’s macroeconomic vulnerability is lower than in past cycles. Templeton Global Investments examines the investment case.
Emerging Markets Insights: Evolving investment narratives in a resilient market
The latest Emerging Markets Insights discusses companies across various sectors that have expressed cautious optimism for the second half of 2026 despite ongoing geopolitical pressures and higher input costs. Templeton Global Investments highlight what they observed at a recently attended summit.
APAC Investing: A pan-regional approach
Templeton Global Investments makes the case for APAC investing, with a pan-regional approach that encapsulates the entire spectrum of dynamic sectors and structural themes.
Emerging Markets Insights: Looking beyond energy prices
US/Iran conflict, Trump-Xi Summit and the re-routing of goods via land are three things we’re watching in this month’s Emerging Markets Insights.
Emerging markets—leading not emerging
Emerging markets are continuing to evolve and change. They are transitioning from the world’s manufacturing hub to a global innovation hub.
Emerging markets at a capital allocation inflection point?
Given the combined weight of these markets within EM portfolios, Templeton Global Investments believe incremental improvements in capital discipline could have a meaningful impact on aggregate index-level earnings quality.
Emerging Markets Insights: South Korea insights and first quarter market review
In this latest Emerging Markets Insights, Templeton Global Investments summarizes the findings from their portfolio managers’ recent visit to South Korea and presents its market review for the first quarter of 2026.
Emerging Markets Insights: Conflict in Iran and falling tariffs
Operation Epic Fury and the impact on the equity risk premium and inflation risks, in addition to US tariffs the China National People's Congress are three things to watch in this month’s Emerging Markets Insights.
Emerging Markets Insights: China's evolving consumer landscape
China’s Spring Festival, Korean semiconductors and emerging market earnings are the three things Templeton Global Investments analyses in this month’s Emerging Markets Insights.
Find out more
Our clients benefit from Templeton Global Investments decades of experience navigating changing markets, and from our investment professionals embedded in global markets with extensive knowledge of local industries and sectors.
预览 PDF
正在载入文档……
关键论点
- AI投资的下一阶段青睐将AI投资转化为持久利润的公司,而非仅仅是硬件供应商。
- 新兴亚洲拥有从超大规模企业到芯片生产商和基础设施推动者的充满活力的AI生态系统,提供了众多机会。
- 尽管存在整体折价,但欧洲上市企业因务实的政策和企业兴趣提供了选择性机会。
- 全球银行前景在经历几年的困难后开始改善。
- 医疗保健行业有望复苏。
- 日本的经济正常化和企业改革支持2026年及以后的股票前景光明。
- 沙特的2030愿景提供了独特的投资机会。
- 必需消费品提供有吸引力的估值、股息和盈利复苏潜力。
风险
- 美伊冲突升级为重大且持续的能源和物流中断。
- 能源价格上涨对印度及全球的盈利、通胀和市场情绪构成风险。
- 持续的地缘政治压力和更高的投入成本可能削弱盈利乐观情绪。
- AI投资可能无法为所有公司转化为持久利润。
- 欧洲的折价可能持续,限制选择性机会。
- 新兴市场仍易受资本流动和全球政策转变的影响。