HomePortfoliosBalanced portfolio world/mf/gold/com/ 2mf long

Balanced portfolio world/mf/gold/com/ 2mf long

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Annual Rebalancing
EUR
Moderate Risk
15.1yr backtest

Performance Summary

Total Return+237.11%
Annualized Return+8.40%
Volatility+10.10%
Sharpe Ratio0.63
Max Drawdown+23.80%

Holdings

Asset Allocation

Asset Class

Equity 65.0%Money Market 20.0%Precious Metals 10.0%Commodities 5.0%
Holdings Details
Diversified ETF portfolio blending global stocks, European equities, emerging markets, money markets, gold, and commodities for balanced growth.
AssetTypeAllocationTER
SPYI.XETRA
SPDR MSCI All Country World Investable Market UCITS ETF (Acc)IE00B3YLTY66
ETF
50.0%0.17%
XEON.XETRA
Xtrackers II EUR Overnight Rate Swap UCITS ETF 1CLU0290358497
ETF
20.0%0.1%
4GLD.XETRA
Xetra-GoldDE000A0S9GB0
ETF
10.0%0%
SC0C.XETRA
Invesco STOXX Europe 600 UCITS ETFIE00B60SWW18
ETF
10.0%0.19%
ETL2.XETRA
L&G Longer Dated All Commodities UCITS ETFIE00B4WPHX27
ETF
5.0%0.3%
SPYM.XETRA
SPDR MSCI Emerging Markets UCITS ETFIE00B469F816
ETF
5.0%0.18%
Total100.0%0.15%

Performance

Portfolio Value Over Time
Starting with 10,000 investment → now worth €33,711.35
Histogram of Monthly Returns
The portfolio had a positive return during 119 of the 181 months (66%)
Monthly Returns Heatmap
Best month: +7.7% • Worst month: -8.4% • Best year: 2019 (+21.3%) • Worst year: 2022 (-6.3%)
YearJanFebMarAprMayJunJulAugSepOctNovDecTotal
2026+2.9%+2.3%-4.5%+5.3%+3.8%-0.2%-0.8%-----+8.9%
2025+4.1%-0.7%-3.6%-2.5%+3.5%+0.1%+3.1%+0.3%+3.1%+3.6%+0.5%+1.1%+13.2%
2024+1.6%+2.2%+3.6%-0.2%+0.8%+2.6%+0.5%-0.1%+1.8%+0.9%+3.8%-0.8%+17.8%
2023+3.9%-0.4%+0.4%-0.2%+1.1%+1.9%+2.1%-0.8%-1.1%-1.7%+3.5%+2.7%+11.6%
2022-2.2%-0.5%+3.0%-0.2%-2.2%-4.4%+5.4%-1.2%-4.2%+1.9%+2.1%-3.4%-6.3%
2021+1.0%+1.4%+3.9%+1.2%+0.9%+2.2%+0.8%+1.8%-1.2%+3.4%-0.3%+2.8%+19.3%
2020-0.5%-5.3%-8.2%+6.4%+1.0%+2.0%+0.7%+3.0%-0.8%-1.5%+5.4%+2.3%+3.6%
2019+5.9%+2.3%+1.6%+2.1%-3.5%+3.2%+2.3%-0.7%+1.8%+0.3%+2.4%+2.2%+21.3%
2018+0.9%-1.4%-2.2%+2.6%+2.2%-1.0%+1.2%+0.2%+0.3%-3.3%+0.3%-4.8%-5.1%
2017+0.6%+3.1%+0.4%-0.2%-1.1%-1.1%-0.4%-0.1%+1.6%+2.4%-0.8%+1.1%+5.5%
2016-5.5%+2.5%+1.2%+2.4%+0.3%+0.7%+2.4%+0.1%+0.4%+0.3%+2.2%+1.8%+9.0%
2015+5.7%+3.9%+2.0%-0.9%+2.0%-3.6%+0.1%-8.4%-1.1%+7.7%+1.9%-3.4%+5.1%
2014-1.4%+3.2%-0.3%+0.3%+2.4%+1.6%+0.4%+2.7%+0.1%+0.3%+1.7%+0.4%+11.8%
2013+1.3%+1.1%+3.4%-1.3%+1.1%-4.1%+2.4%-0.4%+2.0%+1.9%+0.3%-0.3%+7.6%
2012+4.4%+1.6%-0.4%-0.4%-1.5%+1.3%+4.0%+0.6%+0.4%-0.9%+0.6%-0.3%+9.7%
2011-------0.3%-6.6%-1.1%+4.9%+0.3%+0.7%-2.3%
> +2%
0% to +2%
-2% to 0%
< -2%
Drawdown Analysis
Maximum drawdown: +23.80% • The longest drawdown period lasted for 1 year and 9 months and was between April 2015 and January 2017. It reached a trough of -18.5%.

Detailed Metrics

Returns
Total Return
+237.11%
Annualized Return
+8.40%
Avg Monthly Return
+0.71%
Risk
Volatility (Annual)
+10.10%
Max Drawdown
+23.80%
Positive Months
66%
Average Drawdown
-3.3%
Risk-Adjusted
Sharpe Ratio
0.63
Risk-free rate: 2.0%
Sortino Ratio
0.58
Downside risk adjusted
Return/Volatility
0.83
Calmar Ratio
0.35
Return/Max Drawdown
Ulcer Index
4.54
Drawdown depth & duration
Martin Ratio
0.01
Return/Ulcer Index
Backtest Configuration
Initial Investment
10,000
Final Value
33,711.35
Backtest Period
2011-07-08 to 2026-07-31
15.1 years
Rebalancing
annual
Base Currency
EUR
Balanced portfolio world/mf/gold/com/ 2mf long