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Community Portfolios

Browse a wide range of community portfolios shared by PortfoliosLab investors. Analyze returns, risk metrics, and asset allocations, then use advanced filters to uncover useful strategies, compare approaches, and find ideas that fit different market environments.


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Portfolio Name
User
1D Return
YTD Return
10Y Return (Annualized)
Dividend Yield

Risk / Return Rank

Max. Drawdown
Current Drawdown
Expense Ratio
Sharpe Ratio
Sortino Ratio
Omega Ratio
Martin Ratio
Calmar Ratio
Ulcer Index
Long Term ETFJohn Han
-0.26%
4.25%
1.33%
71
-35.74%-1.24%0.09%2.663.701.4923.035.361.81%
long term growthDor Cohen
1.71%
14.78%
35.34%
1.66%
48
-44.72%-0.20%0.23%3.173.661.479.783.245.68%
Long Term Growth/DivTanner Smith
0.00%
4.69%
16.25%
1.44%
74
-32.20%0.00%0.09%2.703.771.5123.765.271.85%
Long Term International DiversifiedJulian Vargas
-0.11%
3.59%
1.45%
46
-12.74%-3.97%0.25%2.573.591.5112.293.092.17%
Long Term PF + DUKMiKeJuAn GmbH
-0.39%
10.00%
1.69%
89
-31.24%-0.39%0.00%3.144.671.5828.658.041.25%
Long Term PF + DUK + BRK.B + WMMiKeJuAn GmbH
-0.48%
9.00%
1.60%
83
-31.05%-0.50%0.00%2.884.271.5325.987.551.24%
Long Term PF + DUK + FCXMiKeJuAn GmbH
-0.24%
11.24%
1.65%
89
-32.36%-0.28%0.00%3.344.861.6027.307.101.48%
Long Term PF + DUK + GSMiKeJuAn GmbH
-0.34%
9.74%
1.69%
93
-31.83%-0.34%0.00%3.384.991.6332.038.641.22%
Long Term PF + DUK + GS + WMTMiKeJuAn GmbH
-0.41%
9.96%
1.65%
94
-30.46%-0.41%0.00%3.475.161.6534.298.661.16%
Long Term PF + DUK + JPMMiKeJuAn GmbH
-0.37%
9.38%
1.70%
90
-31.80%-0.37%0.00%3.174.721.5929.838.261.22%
Long Term PF + DUK + JPM + WMTMiKeJuAn GmbH
-0.45%
9.62%
1.66%
93
-30.42%-0.45%0.00%3.264.891.6132.468.301.15%
Long Term PF + NEEMiKeJuAn GmbH
-0.36%
10.25%
1.65%
90
-31.05%-0.36%0.00%3.184.671.5929.288.491.29%
Long Term PF + NEE + WMTMiKeJuAn GmbH
-0.44%
10.45%
1.60%
91
-29.64%-0.44%0.00%3.284.831.6132.068.531.21%
Long Term PF + WMT + WM + BKNG + BRK.BMiKeJuAn GmbH
-0.59%
7.74%
1.45%
79
-29.93%-0.59%0.00%2.794.171.5126.237.791.25%
Long Term PF 2.0 + DUK + WMT + PM MiKeJuAn GmbH
-0.47%
9.74%
1.74%
90
-29.86%-0.84%0.00%3.184.761.5928.927.321.23%
Long term planBenjamin Dupuis
0.09%
2.21%
1.20%
75
-13.01%-4.21%0.13%3.234.011.6416.874.182.56%
Long Term Porffolio AC
-0.02%
3.54%
1.71%
65
-25.76%-2.71%0.09%2.793.881.5219.204.282.20%
Long Term Porffolio AC
-0.02%
3.54%
1.71%
65
-25.76%-2.71%0.09%2.793.881.5219.204.282.20%
Long Term Porftolioeuclides espinal
-0.25%
5.04%
31.86%
1.05%
37
-29.56%-1.56%0.01%2.172.891.3714.844.373.26%
Long Term PortfolioAmeet
0.15%
5.16%
0.00%
74
-22.57%-3.42%0.20%3.384.761.6116.994.132.23%

Rows per page

9021–9040 of 10000

Risk vs. Return Scatterplot

The Risk vs. Return Scatterplot allows you to easily compare all lazy portfolios in one view using annualized return and standard deviation for the specified period. When comparing several portfolios, preference is typically given to the one that has a higher return and lower volatility (indicated on the chart in green).

0%Annualized Volatility0%Annualized Return

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