Performance
Copy of Sammy +34.48%
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Current Drawdown
-5.06%
Rolling Volatility
+0.76%
METRICS
Correlation Matrix
Actions
Portfolio
Allocation
8 Assets
AAPL
GOOGL
JNJ
JPM
NVDA
SPY
TSLA
UNH
Metrics
Risk Indicators
Alpha22.94%
Beta0.35x
Sharpe1.72
Sortino2.82
Omega1.32
Calmar5.80
Martin11.46