① 只持有北京控股(00392)的收益为:-39.48%
② (00392 vs 02322)按1:1配对交易,对冲风险组合收益为:65.06%
③ (00392 vs 01035)按1:1配对交易,对冲风险组合收益为:53.84%
④ (00392 vs 00172)按1:1配对交易,对冲风险组合收益为:12.69%
⑤ (00392 vs 08041)按1:1配对交易,对冲风险组合收益为:7.88%
⑥ (00392 vs 00826)按1:1配对交易,对冲风险组合收益为:-0.92%
⑦ (00392 vs 00420)按1:1配对交易,对冲风险组合收益为:-7.92%
⑧ (00392 vs 00844)按1:1配对交易,对冲风险组合收益为:-8.39%
⑨ (00392 vs 08047)按1:1配对交易,对冲风险组合收益为:-12.36%
ⓐ (00392 vs 01022)按1:1配对交易,对冲风险组合收益为:-15.93%
ⓑ (00392 vs 01778)按1:1配对交易,对冲风险组合收益为:-17.06%