模拟指数:中华沪深港300
时段区间:2014-12-15至2025-04-08
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 |
52.25% |
15.4% |
47.75% |
-12.48% |
44.71% |
-33.36% |
2年 |
58.95% |
18.46% |
41.05% |
-15.18% |
66.06% |
-32.14% |
3年 |
60.52% |
20.96% |
39.48% |
-16.87% |
47.04% |
-43.77% |
5年 |
52.95% |
36.21% |
47.05% |
-7.87% |
113.38% |
-21.06% |
10年 |
100% |
19.52% |
|
|
30.86% |
|