三连阴阳反转策略:年化收益率(2.43%)

本策略监控贵州茅台(600519.SH)股票价格,当出现连续三日下跌时买入,预期价格反弹;当出现连续三日上涨时卖出,规避回调风险。策略逻辑简洁,专注于捕捉茅台短期价格波动中的反转机会。

概要

核心指标

  • 累计收益率: 3.71%
  • 年化收益率: 2.43%
  • 基准收益率: 19.74%
  • 阿尔法: -0.03
  • 夏普比率: 0.02
  • 最大回撤: 15.42%

源码

查看AI策略代码

绩效

持仓详情

当日收盘价
当日市值
浮动收益/浮动收益率
2025-07-07 贵州茅台(600519.SH) 1498.5967040673 0 34 1410.7 0 -54456.59/-5.097%
2025-07-04 贵州茅台(600519.SH) 1498.5967040673 713 33 1422.22 1014042.86 -54456.59/-5.097%
2025-07-03 贵州茅台(600519.SH) 1498.5967040673 713 32 1415.6 1009322.8 -59176.65/-5.538%
2025-07-02 贵州茅台(600519.SH) 1498.5967040673 713 31 1409.6 1005044.8 -63454.65/-5.939%
2025-07-01 贵州茅台(600519.SH) 1498.5967040673 713 30 1405.1 1001836.3 -66663.15/-6.239%
2025-06-30 贵州茅台(600519.SH) 1498.5967040673 713 29 1409.52 1004987.76 -63511.69/-5.944%
2025-06-27 贵州茅台(600519.SH) 1498.5967040673 713 28 1403.09 1000403.17 -68096.28/-6.373%
2025-06-26 贵州茅台(600519.SH) 1498.5967040673 713 27 1420 1012460 -56039.45/-5.245%
2025-06-25 贵州茅台(600519.SH) 1526.4277857143 700 26 1435.86 1005102 -63397.45/-5.933%
2025-06-24 贵州茅台(600519.SH) 1526.4277857143 700 25 1437.2 1006040 -62459.45/-5.846%

交易详情

2025-07-07 贵州茅台(600519.SH) -713 1422.28 -1014085.64 ¥1318.31 -54413.81
2025-06-26 贵州茅台(600519.SH) 13 1408.26 -1012.62 ¥0 0
2025-06-17 贵州茅台(600519.SH) 100 1420 142000 ¥42.6 0
2025-06-11 贵州茅台(600519.SH) 100 1476.8 147680 ¥44.3 0
2025-05-29 贵州茅台(600519.SH) 100 1540 154000 ¥46.2 0
2025-05-28 贵州茅台(600519.SH) 100 1543.99 154399 ¥46.32 0
2025-05-27 贵州茅台(600519.SH) 100 1551 155100 ¥46.53 0
2025-05-26 贵州茅台(600519.SH) 100 1570 157000 ¥47.1 0
2025-05-20 贵州茅台(600519.SH) 100 1580 158000 ¥47.4 0
2025-05-08 贵州茅台(600519.SH) -100 1553 -155300 ¥201.89 -646.77