① 只持有绿城中国(03900)的收益为:52.83%
② (03900 vs 08168)按1:1配对交易,对冲风险组合收益为:35.54%
③ (03900 vs 00815)按1:1配对交易,对冲风险组合收益为:31.67%
④ (03900 vs 02899)按1:1配对交易,对冲风险组合收益为:21.48%
⑤ (03900 vs 00098)按1:1配对交易,对冲风险组合收益为:10.81%
⑥ (03900 vs 00327)按1:1配对交易,对冲风险组合收益为:7.16%
⑦ (03900 vs 01509)按1:1配对交易,对冲风险组合收益为:3.73%
⑧ (03900 vs 01363)按1:1配对交易,对冲风险组合收益为:-0.38%
⑨ (03900 vs 00826)按1:1配对交易,对冲风险组合收益为:-0.92%
ⓐ (03900 vs 00628)按1:1配对交易,对冲风险组合收益为:-2.05%
ⓑ (03900 vs 06136)按1:1配对交易,对冲风险组合收益为:-5.52%