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China: An Equity Strategist’s Diary (H): Weekly wrap (11-15 May): AI trades reverse amid yield breakout; muted summit
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China: An Equity Strategist’s Diary (H): Weekly wrap (11-15 May): AI trades reverse amid yield breakout; muted summit
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China: An Equity Strategist’s Diary (H)
Weekly wrap (11-15 May): AI trades
reverse amid yield breakout; muted summit
Equity Strategy
Weekly index performance 18 May 2026
HSCEI -2.2%/CSI 300 -0.3%: Choppy price action persisted early in the week, with Equity Strategy
positioning increasingly crowded in AI themes alongside elevated turnover and margin China
trading. However, a strong open on Thursday quickly faded, giving way to a sharp unwind
in tech and a broader risk-off into Friday as the Trump–Xi summit concluded. The Table of Contents
correction aligned with a less supportive macro backdrop, with global bond yields
Indices vs RRR cut 2
breaking higher and oil price rising. The leadership summit itself was broadly in line with
Key themes update 3
muted expectations, aside from a brief sentiment uptick following Nvidia CEO Jensen
Huang’s late addition to the delegation. Materials, healthcare, and comm. services Market movements and capital flows 4
underperformed the most while utilities, real estate, and energy outperformed the most. Southbound weekly flow 5
China Positioning 6
Macro: top weekly headlines & upcoming highlights Earnings revisions 7
Week of May 18: Mon, Apr industrial production, retail sales, FAI and new home prices; Recovery trends 8
Wed, May 1Y & 5Y LPR; Trump-Xi summit: US, China forged ‘constructive strategic Key events 9
stability’ in Beijing summit; Xi invited to White House on Sep 24; Bessent said China will
Key news 10
work behind the scenes to help reopen Hormuz; Macro: PBOC warned of imported
inflation risk as oil prices increase; SAMR launched special enforcement campaign China Coverage Universe 19
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