Global Markets
Country 1Y 3Y 5Y
Japan 27.80% 19.30% 9.58%
Brazil 27.73% 11.64% 7.95%
Canada 27.63% 23.29% 12.73%
Italy 26.02% 29.03% 17.87%
United Kingdom 20.65% 19.32% 12.26%
United States 20.30% 21.03% 12.76%
Australia 14.36% 14.41% 7.34%
France 10.80% 9.96% 7.05%
Germany 7.71% 18.95% 7.52%
China -9.06% 9.57% -2.76%
Economic Indicators
Asset Class Performance
Asset Class 1Y 3Y 5Y
Commodities 38.15% 15.63% 12.62%
Gold 28.41% 31.40% 19.20%
Intl Developed Markets 27.84% 20.62% 10.07%
Emerging Markets 21.61% 18.50% 6.87%
US Stock Market 20.29% 21.00% 12.77%
REIT 15.82% 11.65% 3.65%
Short Treasuries 2.45% 4.25% 1.93%
Total Bond Market 1.85% 4.06% -0.33%
Intermediate Treasuries 0.66% 3.73% -0.18%
Long Treasuries 0.14% 0.08% -6.90%
Global Bonds -2.87% 1.56% -4.16%
Style Indicators
Small vs. Large Cap
Small vs. Large Cap
Market Cap Style
  • While small-cap stocks can generate higher returns, they also have a higher risk profile. Conversely, large-cap stocks witness smaller growth but are more stable.
Value vs. Growth
Value vs. Growth
Value vs. Growth
  • Growth stocks are those of companies that are considered to have the potential to outperform the overall market over time because of their future potential. Value stocks are classified as companies that are currently trading below what they are really worth and will thus provide a superior return.
Sector Performance
Sector 1Y 3Y 5Y
Energy 45.89% 16.54% 25.93%
Technology 42.86% 29.38% 19.51%
Health Care 26.25% 10.41% 6.46%
Industrial 16.68% 19.09% 12.56%
Materials 16.26% 10.42% 6.32%
Financial 8.54% 20.73% 10.38%
Consumer Staples 8.13% 8.21% 6.05%
Real Estate 7.82% 9.67% 1.80%
Utilities 2.94% 13.64% 7.44%
Consumer Discretionary 1.40% 11.86% 5.75%
Communication Services 1.32% 19.39% 6.50%
Style Indicators
Small vs. Large Cap
Small vs. Large Cap
Market Cap Style
  • While small-cap stocks can generate higher returns, they also have a higher risk profile. Conversely, large-cap stocks witness smaller growth but are more stable.
Value vs. Growth
Value vs. Growth
Value vs. Growth
  • Growth stocks are those of companies that are considered to have the potential to outperform the overall market over time because of their future potential. Value stocks are classified as companies that are currently trading below what they are really worth and will thus provide a superior return.
Portfolio Models
Portfolio 1Y 3Y 5Y
Mebane Faber Ivy Portfolio 21.46% 14.58% 8.32%
Bill Bernstein No Brainer 17.20% 15.31% 7.97%
Rick Ferri Core Four 17.01% 16.40% 8.03%
Marc Faber Portfolio 16.06% 16.62% 8.13%
Harry Browne Permanent Portfolio 14.00% 14.25% 7.08%
Larry Swedroe Simple Portfolio 13.15% 12.19% 6.41%
Stocks/Bonds (60/40) 12.80% 14.05% 7.00%
David Swensen Lazy Portfolio 12.58% 13.05% 6.04%
Ray Dalio All Seasons 12.25% 10.17% 3.12%
David Swensen Yale Endowment 12.18% 12.29% 4.49%
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Performance Highlights
Metric Portfolio
Start Balance
End Balance
Annualized Return
Annualized Volatility
Sharpe Ratio
Max. Drawdown
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