China Tightens Market Oversight to Guide a Steadier Equity Rally

China’s financial regulators are moving to cool overheated trading activity as stock markets extend a strong rally, signaling a clear preference for stability over rapid gains. As international investors gradually turn their attention back toward Chinese assets, policymakers are aiming to encourage a

China Stocks Rebound as Investors Warm to PBOC’s Cautious but Supportive Signals

Early Weakness Gives Way to Recovery Mainland Chinese equities ended the session higher after shaking off early losses, as investors reassessed the latest policy signals from the central bank. Trading opened cautiously, with markets initially drifting lower amid uncertainty over the direction of

How Hong Kong and Mainland China Stocks Emerged as Global Leaders in 2025

A Strong Finish to a Volatile Year Hong Kong and mainland China ended 2025 with some of the strongest stock market performances in the world, capping a year that defied widespread skepticism. Both markets recorded robust annual gains for the second consecutive year,

China’s Stock Market Enters a Repricing Phase After Prolonged Volatility

China’s equity market appears to be moving into a repricing phase after several years defined by volatility, declining confidence, and compressed valuations. Rather than a sharp rebound or a renewed selloff, current market behavior suggests a slower reassessment of what Chinese assets are

China’s Stock Market Outlook 2025: Can Policy Boost Investor Confidence

China’s financial markets are showing early signs of recovery after two turbulent years marked by slowing growth, property debt, and global economic uncertainty. The Shanghai Composite and Shenzhen Component indices have stabilized since the beginning of 2025, supported by targeted monetary easing and