None Rebalancing
EUR
Moderate Risk
16.8yr backtest

Performance Summary

Total Return+628.12%
Annualized Return+12.58%
Volatility+15.44%
Sharpe Ratio0.69
Max Drawdown+33.63%

Holdings

Asset Allocation

Asset Class

Equity 100.0%
Holdings Details
A 100% global equity ETF portfolio for diversified, long-term growth through a single low-cost MSCI World index fund.
AssetTypeAllocationTER
EUNL.XETRA
iShares Core MSCI World UCITS ETF USD (Acc)IE00B4L5Y983
ETF
100.0%0.2%
Total100.0%0.20%

Performance

Portfolio Value Over Time
Starting with 10,000 investment → now worth €72,812.32
Histogram of Monthly Returns
The portfolio had a positive return during 135 of the 202 months (67%)
Monthly Returns Heatmap
Best month: +10.3% • Worst month: -10.8% • Best year: 2021 (+32.7%) • Worst year: 2022 (-13.6%)
YearJanFebMarAprMayJunJulAugSepOctNovDecTotal
2026+0.4%+1.1%-4.8%+8.3%+5.5%+1.3%+0.2%-----+12.1%
2025+4.4%-2.5%-7.9%-3.9%+6.4%+0.9%+4.8%-0.4%+2.5%+4.3%-0.3%+0.3%+7.9%
2024+3.4%+3.7%+3.7%-2.1%+1.3%+4.9%+0.2%-0.3%+1.3%+1.2%+7.4%-1.2%+25.9%
2023+4.9%+0.6%+0.2%+0.3%+2.4%+3.9%+2.3%-0.6%-1.6%-3.5%+5.8%+4.2%+20.1%
2022-5.4%-1.7%+4.7%-2.6%-3.5%-6.3%+10.3%-1.9%-5.7%+4.5%+0.3%-5.7%-13.6%
2021+0.4%+3.2%+6.2%+1.9%-0.3%+4.7%+1.8%+3.1%-1.9%+5.1%+0.6%+4.0%+32.7%
2020+0.3%-8.9%-10.8%+9.6%+2.5%+1.7%-0.3%+6.0%-1.3%-2.7%+9.6%+1.9%+5.5%
2019+7.9%+4.0%+2.5%+3.6%-4.8%+3.9%+3.6%-1.7%+3.2%-0.1%+4.4%+1.5%+31.3%
2018+1.0%-1.8%-3.7%+3.9%+3.6%+0.2%+2.5%+1.9%+0.7%-4.9%+0.4%-8.4%-5.1%
2017-1.0%+5.0%+0.5%-0.6%-1.1%-0.9%-0.8%-0.8%+2.9%+3.4%-0.2%+1.4%+7.7%
2016-6.8%+0.4%+1.1%+0.2%+4.2%-1.1%+3.9%+0.3%+0.1%+0.5%+5.4%+2.9%+10.9%
2015+5.1%+6.6%+2.8%-1.7%+1.9%-3.6%+3.0%-8.2%-3.6%+9.8%+3.9%-4.1%+10.8%
2014-1.6%+3.1%+0.0%+0.4%+3.7%+1.5%+0.9%+3.7%+1.8%+1.2%+2.9%+1.3%+20.4%
2013+2.9%+4.0%+4.2%+0.4%+2.7%-3.2%+3.3%-2.3%+2.7%+3.8%+1.5%+0.4%+21.9%
2012+3.8%+2.9%+1.4%-0.6%-2.5%+2.6%+4.6%+0.4%+0.0%-1.5%+1.1%-0.2%+12.4%
2011-0.7%+2.5%-3.8%-0.3%+1.1%-2.2%-0.7%-7.3%-2.0%+6.3%+0.5%+4.0%-3.3%
2010-0.4%+2.4%+7.1%+2.1%-2.6%-2.8%+1.0%+1.0%+0.2%+0.6%+4.8%+4.9%+19.4%
2009----------2.7%+0.6%+6.9%+4.7%
> +2%
0% to +2%
-2% to 0%
< -2%
Drawdown Analysis
Maximum drawdown: +33.63% • The longest drawdown period lasted for 1 year and 8 months and was between January 2022 and September 2023. It reached a trough of -16.8%.

Detailed Metrics

Returns
Total Return
+628.12%
Annualized Return
+12.58%
Avg Monthly Return
+1.05%
Risk
Volatility (Annual)
+15.44%
Max Drawdown
+33.63%
Positive Months
67%
Average Drawdown
-4.8%
Risk-Adjusted
Sharpe Ratio
0.69
Risk-free rate: 2.0%
Sortino Ratio
0.63
Downside risk adjusted
Return/Volatility
0.81
Calmar Ratio
0.37
Return/Max Drawdown
Ulcer Index
6.29
Drawdown depth & duration
Martin Ratio
0.02
Return/Ulcer Index
Backtest Configuration
Initial Investment
10,000
Final Value
72,812.32
Backtest Period
2009-10-20 to 2026-07-24
16.8 years
Rebalancing
none
Base Currency
EUR
MSCI | +12.6% CAGR | ETF Backtest