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Best Six Months



Updated 3 days, 6 hours ago
Portfolio ^SP-500 Instrument
Model Best Six Months
Period 2000-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $478,107.66
CAGR % 6.12%
Max % Drawdown (35.30%)
Standard Deviation 3.05%
Annualized Sharpe 0.33
Win Rate % 76.9%
Longest Drawdown 37.4 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^SP-500 Instrument
Model Best Six Months
Period 2000-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $209,431.72
CAGR % 2.85%
Max % Drawdown (41.31%)
Standard Deviation 3.02%
Annualized Sharpe 0.04
Win Rate % 76.9%
Longest Drawdown 202.6 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^EAFE Instrument
Model Best Six Months
Period 2000-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $598,565.98
CAGR % 7.03%
Max % Drawdown (33.47%)
Standard Deviation 3.18%
Annualized Sharpe 0.40
Win Rate % 76.9%
Longest Drawdown 41.8 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^EAFE Instrument
Model Best Six Months
Period 2000-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $86,584.68
CAGR % (0.55%)
Max % Drawdown (48.93%)
Standard Deviation 3.29%
Annualized Sharpe (0.25)
Win Rate % 61.5%
Longest Drawdown 215.6 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^SP-500 Instrument
Model Best Six Months
Period 1980-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $7,795,192.84
CAGR % 9.85%
Max % Drawdown (35.63%)
Standard Deviation 2.98%
Annualized Sharpe 0.68
Win Rate % 80.4%
Longest Drawdown 45.2 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^SP-500 Instrument
Model Best Six Months
Period 1980-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $663,759.36
CAGR % 4.17%
Max % Drawdown (42.03%)
Standard Deviation 3.19%
Annualized Sharpe 0.16
Win Rate % 78.3%
Longest Drawdown 204.1 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^EAFE Instrument
Model Best Six Months
Period 1980-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $11,910,203.38
CAGR % 10.86%
Max % Drawdown (33.82%)
Standard Deviation 3.27%
Annualized Sharpe 0.71
Win Rate % 82.6%
Longest Drawdown 43.9 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^EAFE Instrument
Model Best Six Months
Period 1980-01-01 — 2026-05-08
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $119,583.08
CAGR % 0.39%
Max % Drawdown (50.42%)
Standard Deviation 3.49%
Annualized Sharpe (0.15)
Win Rate % 58.7%
Longest Drawdown 345.7 months
Avg Trades Per Year 0.99
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Updated 3 days, 7 hours ago
Portfolio ^SP-500 Instrument
Model Best Six Months
Period 1950-01-01 — 1979-12-31
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $1,890,019.03
CAGR % 10.30%
Max % Drawdown (27.46%)
Standard Deviation 2.69%
Annualized Sharpe 0.78
Win Rate % 79.3%
Longest Drawdown 29.5 months
Avg Trades Per Year 0.97
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Updated 3 days, 7 hours ago
Portfolio ^SP-500 Instrument
Model Best Six Months
Period 1950-01-01 — 1979-12-31
Timeframe Monthly
Starting Equity $100,000.00
Ending Equity $176,589.39
CAGR % 1.91%
Max % Drawdown (32.77%)
Standard Deviation 2.84%
Annualized Sharpe (0.06)
Win Rate % 66.7%
Longest Drawdown 110.7 months
Avg Trades Per Year 1.00
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