Net Annualized Returns | ||
Since inception | -6.4% | |
Year to date | -17.8% | |
Last 12 months | -12% | |
Past 3 years | n/a | |
Past 5 years | n/a | |
Past 10 years | n/a |
Rolling 12-Month Returns Statistics | ||
Number of positive periods | 57% | |
Average when positive | 4.4% | |
Average when negative | -5.8% | |
Best 12 months | 12.5% | |
Worst 12 months | -13.8% |
2022 | 2021 |
---|---|
Natural Resources +28.4% | Natural Resources +83% |
Gold Bullion +0.3% | Global Real Estate +47.2% |
Intermediate Government Bonds -7% | US Broad Stock Market +25.6% |
Municipal Bonds -12.2% | Global Stocks +18.2% |
Emerging Markets Stocks -15.7% | WealthBuilder ESG Portfolio - All Equity +11.5% |
Emerging Markets Bonds -16% | Municipal Bonds +1.8% |
US Broad Stock Market -16.6% | Emerging Markets Stocks +0.7% |
Global Real Estate -16.6% | Intermediate Government Bonds -2.4% |
WealthBuilder ESG Portfolio - All Equity -17.8% | Emerging Markets Bonds -2.4% |
Global Stocks -22.5% | Gold Bullion -4.3% |
Intermediate-Term Bonds 0% | Intermediate-Term Bonds 0% |
Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | YTD | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
2021 | -4.53% | 2.31% | 2.95% | 3.72% | 1.45% | 1.55% | 0.54% | 2.28% | -4.58% | 5.21% | -2.55% | 3.13% | 11.5% |
2022 | -5.68% | -3% | 1.28% | -8.69% | -2.88% | -17.8% |
Risk Analysis | ||
Volatility | 16.5% | |
Sharpe ratio | -0.4 | |
Sortino ratio | -0.6 | |
Duration (years) | 0 | |
Current drawdown | -19.2% | |
Risk score (0 to 100): | 33.8 |
Maximum Drawdown | ||
Maximum drawdown | -21.3% | |
MAR ratio | 0 | |
Length in months | 6 | |
Start | 11/08/2021 | |
Trough | 05/11/2022 | |
Recovery | 05/13/2022 | |
Trough to recovery (months) | 1 |