{"data":{"fund_code":"675091","index_tip":[{"title":"风险收益比","content":"综合统计基金承担风险获取收益的性价比，数据取基金夏普比率的同类（二级分类）排名计算。同类信息由第三方数据源提供，指标排名数据仅供参考，不构成投资建议。"},{"title":"抗风险波动","content":"综合统计基金抗风险波动能力，数据取基金年化波动率与基金区间内最大回撤数据的同类（二级分类）排名均值计算。同类信息由第三方数据源提供，指标排名数据仅供参考，不构成投资建议。"},{"title":"年化波动率","content":"代表基金的年化波动幅度。通常用来衡量该基金的风险水平，数值越小波动越小。若基金成立时间不足半年，此数据不具备参考价值，不展示该数据。"},{"title":"年化夏普比率","content":"代表每承受一单位总风险，会产生多少的超额收益，数值越大越好。如果夏普比例为正值，说明在选定区间内基金收益率超过无风险利率。若基金成立时间不足半年，此数据不具备参考价值，不展示该数据。"},{"title":"最大回撤","content":"基金成立以来，从任一历史时点往后推，净值走到最低点时的收益率回撤幅度的最大值。最大回撤用来描述买入产品后可能出现的最糟糕情况。通常用来衡量该基金的抗风险能力。"}],"index_data_list":[{"investment_cost_performance":"88%","risk_control":"67%","index_time_period":"近1年","range":"1y","self_index":{"volatility_rank":0.0042,"sharpe_rank":2.13,"max_draw_down":0.0041},"average_index":{"volatility_rank":0.0093,"sharpe_rank":1.01,"max_draw_down":0.0069}},{"investment_cost_performance":"91%","risk_control":"66%","index_time_period":"近3年","range":"3y","self_index":{"volatility_rank":0.0066,"sharpe_rank":2.92,"max_draw_down":0.0098},"average_index":{"volatility_rank":0.0122,"sharpe_rank":1.69,"max_draw_down":0.0128}},{"investment_cost_performance":"94%","risk_control":"75%","index_time_period":"近5年","range":"5y","self_index":{"volatility_rank":0.0068,"sharpe_rank":3.76,"max_draw_down":0.0098},"average_index":{"volatility_rank":0.0142,"sharpe_rank":1.82,"max_draw_down":0.0183}}]},"result_code":0}