模拟指数:A股通策略
时段区间:2016-01-01至2025-03-28
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 |
52.69% |
29.71% |
47.19% |
-16.66% |
92.29% |
-35.35% |
2年 |
54.76% |
55.28% |
45.24% |
-24.91% |
175.96% |
-41.39% |
3年 |
62.01% |
68.88% |
37.99% |
-33.01% |
142.63% |
-54.74% |
5年 |
80.71% |
40.64% |
19.29% |
-5.76% |
199.27% |
-17.51% |