模拟指数:细分金融
时段区间:2009-11-25至2024-11-25
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 |
47.47% |
21.73% |
52.53% |
-11.81% |
136.83% |
-34.97% |
2年 |
52.07% |
26.57% |
47.93% |
-12.98% |
117.75% |
-38.69% |
3年 |
59.22% |
34.54% |
40.78% |
-16.22% |
131.4% |
-42.01% |
5年 |
74.55% |
44.98% |
25.45% |
-13.29% |
119.07% |
-28.3% |
10年 |
100% |
58.39% |
|
|
98.28% |
|