This podcast discusses key macro questions focusing on China's recent 10-point stimulus package by PBOC Governor Pan Gangsheng, which boosted investor sentiment and led to the best single-day performance in the CSI 300 Index since July 2020. The discussion covers China's impact on asset markets, the persistence of the Goldilocks market regime, and the attractiveness of Chinese equities and international cyclicals amid long-term structural challenges. Additionally, the podcast delves into active fundamental themes, market regime analysis, quantitative signals such as the 10-year Treasury yield and positioning models, and risk management strategies to provide insights into potential medium-to-long term market corrections.