Fact Sheet

21-Mar-10

portfoliorunner


I'm using trade signals and portfolio risk management tool from www.portfoliorunner.com. All trades are automated. more

portfolio

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Location:
Texas, USA
Inception:
01-Jul-09
Ann. Return:
19.84%
Valuation:
$$
Capitalization Bias:
None
Long/Short:
Long

Investor Type

Approach:
Risk Profile:
Holding Period:
Focus:
portfoliorunner S&P 500
Return Since Inception 13.93
Month to Date Return 4.77 5.55
Projected Alpha -17.14
Beta 1.16

Latest Trades

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Risk

Annualized Std. Deviation Sharpe Ratio Maximum Drawdown
24.17%
16.47%
 0.82
 2.37

 -15.51%

 -8.13%
Benchmark portfoliorunner
Member S&P 500      

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Watchlist Ideas

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Holdings Summary

Holding Summary

Top 5 Holdings
OB
Long
SAPE
Long
MEDQ
Long
FRPT
Long
JDSU
Long
Total 56.03%
Holdings 14
View detail
 
Industry Breakdown
Financials
Long
Technology
Long
Industrials
Long
Health Care
Long
Consumer Services
Long
 
Geographic Breakdown
United States
Long