① 只持有英国石油(BP)的收益为:-36.34%
② (BP vs SCO)按1:1配对交易,对冲风险组合收益为:100.81%
③ (BP vs ERY)按1:1配对交易,对冲风险组合收益为:98.27%
④ (BP vs VIIX)按1:1配对交易,对冲风险组合收益为:81.34%
⑤ (BP vs VIXY)按1:1配对交易,对冲风险组合收益为:81.25%
⑥ (BP vs VXX)按1:1配对交易,对冲风险组合收益为:80.42%
⑦ (BP vs VIXM)按1:1配对交易,对冲风险组合收益为:79.67%
⑧ (BP vs VXZ)按1:1配对交易,对冲风险组合收益为:79.65%
⑨ (BP vs LAKE)按1:1配对交易,对冲风险组合收益为:73.56%
ⓐ (BP vs TMF)按1:1配对交易,对冲风险组合收益为:70.47%
ⓑ (BP vs OSN)按1:1配对交易,对冲风险组合收益为:67.39%