模拟指数:1000金融
时段区间:2015-03-16至2025-03-14
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 |
50.43% |
12.38% |
49.57% |
-11.95% |
37.72% |
-34.64% |
2年 |
43.69% |
15.04% |
56.31% |
-11.79% |
47.94% |
-31.11% |
3年 |
51.03% |
11.63% |
48.97% |
-17.09% |
30.61% |
-32.85% |
5年 |
45.74% |
13.69% |
54.26% |
-13.5% |
46.82% |
-28.65% |
10年 |
100% |
6.62% |
|
|
6.62% |
|