沪深300金融(000914)
动态评分: 2.41分
行情分析

投资模拟

模拟指数:沪深300金融
时段区间:2005-01-04至2025-05-29
时段区间:2005-01-04至2025-05-29
持有时长 | 盈利概率 | 盈利均值 | 亏损概率 | 亏损均值 | 最大收益 | 最差收益 |
1年 | 53.23% | 52.26% | 46.77% | -16.21% | 390.68% | -73.76% |
2年 | 51.9% | 93.26% | 48.1% | -15.34% | 822.82% | -49.96% |
3年 | 59.25% | 74.34% | 40.75% | -20.85% | 745.6% | -55.69% |
5年 | 63.72% | 80.86% | 36.28% | -20.71% | 434.8% | -65.34% |
10年 | 91.96% | 118.79% | 8.04% | -15.18% | 745.8% | -31.26% |
公告&资料
