加拿大的股票在2025年上涨了31%,其驱动因素是减速、基础设施支出和强劲的采矿投资。
Canadian stocks rose 31% in 2025, driven by rate cuts, infrastructure spending, and strong mining investments.
加拿大的股票在2025年猛增31%,超过了S&P 500,尽管美国的贸易紧张和国内经济挑战。
Canadian stocks surged 31% in 2025, outpacing the S&P 500, despite U.S. trade tensions and domestic economic challenges.
加拿大银行减速、预期公司利润增长、政府在基础设施和国防方面的支出增加,以及采矿和重要矿物的投资,都推动了强劲的业绩。
Strong performance was fueled by Bank of Canada rate cuts, projected corporate profit growth, increased government spending on infrastructure and defence, and investments in mining and critical minerals.
国内采购政策促进了材料和金融部门的发展,而石油库存则出现了复苏的迹象。
Domestic procurement policies boosted materials and financial sectors, while oil stocks showed signs of recovery.
分析家预计2026年会稳步增长,虽然未来的回报很可能是稳固的,而不是引人注目的。
Analysts expect steady gains in 2026, though future returns are likely solid, not spectacular.