创业板和标普500止损轮动策略:年化收益率(25.55%)

该策略的思路比较简单,因为创业板和标普500呈现负相关,很适合做轮动策略。以 20 日涨跌幅为核心评分因子,每日调仓,并设置-2%的止损机制。

概要

核心指标

  • 累计收益率: 1172.67%
  • 年化收益率: 25.55%
  • 基准收益率: 74.63%
  • 阿尔法: 0.23
  • 夏普比率: 0.86
  • 最大回撤: 41.93%

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
2025-08-01 创业板(159915.SZ) 2.157431401054 550300 18 2.303 1267340.9 80106.4/6.747%
2025-07-31 创业板(159915.SZ) 2.157431401054 550300 17 2.301 1266240.3 79005.8/6.655%
2025-07-30 创业板(159915.SZ) 2.157431401054 550300 16 2.345 1290453.5 103219/8.694%
2025-07-29 创业板(159915.SZ) 2.157431401054 550300 15 2.383 1311364.9 124130.4/10.455%
2025-07-28 创业板(159915.SZ) 2.157431401054 550300 14 2.342 1288802.6 101568.1/8.555%
2025-07-25 创业板(159915.SZ) 2.157431401054 550300 13 2.318 1275595.4 88360.9/7.443%
2025-07-24 创业板(159915.SZ) 2.157431401054 550300 12 2.325 1279447.5 92213/7.767%
2025-07-23 创业板(159915.SZ) 2.157431401054 550300 11 2.287 1258536.1 71301.6/6.006%
2025-07-22 创业板(159915.SZ) 2.157431401054 550300 10 2.289 1259636.7 72402.2/6.098%
2025-07-21 创业板(159915.SZ) 2.157431401054 550300 9 2.275 1251932.5 64698/5.449%

交易详情

2025-07-09 标普500(513500.SH) -558800 2.118 -1183538.4 ¥236.71 1998.94
2025-07-09 创业板(159915.SZ) 550300 2.157 1186997.1 ¥237.4 0
2025-07-08 创业板(159915.SZ) -562500 2.109 -1186312.5 ¥237.26 -237.26
2025-07-08 标普500(513500.SH) 558800 2.114 1181303.2 ¥236.26 0
2025-06-26 标普500(513500.SH) -574200 2.063 -1184574.6 ¥236.91 22735.68
2025-06-26 创业板(159915.SZ) 562500 2.109 1186312.5 ¥237.26 0
2025-06-20 创业板(159915.SZ) -580400 2.005 -1163702 ¥232.74 -13584.61
2025-06-20 标普500(513500.SH) 574200 2.023 1161606.6 ¥232.32 0
2025-06-19 标普500(513500.SH) -579200 2.028 -1174617.6 ¥234.92 -3131.5
2025-06-19 创业板(159915.SZ) 580400 2.028 1177051.2 ¥235.41 0