Asset Allocation
Find the right asset allocation for 10
Add portfolio to the optimizer to find optimal allocations for your target — whether that's maximizing returns, minimizing drawdowns, or balancing risk across holdings.
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Performance Chart
The chart shows the growth of an initial investment of $10,000 in 10, comparing it to the performance of the S&P 500 index or another benchmark. All prices have been adjusted for splits and dividends. The portfolio is rebalanced Every 3 months.
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Returns By Period
| Position | 1D | 1M | YTD | 6M | 1Y | 3Y* | 5Y* | 10Y* |
|---|---|---|---|---|---|---|---|---|
Benchmark S&P 500 Index | 0.50% | -0.17% | 8.56% | 8.85% | 22.93% | 19.37% | 11.84% | 13.61% |
Portfolio 10 | 0.26% | 0.20% | -10.38% | -12.05% | 28.13% | 36.04% | — | — |
| Portfolio components: | ||||||||
CAKE The Cheesecake Factory Incorporated | 0.40% | 33.17% | 50.58% | 52.45% | 30.61% | 33.20% | 8.52% | 6.31% |
COIN Coinbase Global, Inc. | -0.41% | -20.82% | -29.34% | -40.26% | -33.71% | 45.01% | -6.53% | — |
COST Costco Wholesale Corporation | 0.68% | -4.91% | 14.24% | 11.38% | -1.48% | 25.12% | 22.12% | 22.27% |
MA Mastercard Incorporated | 0.71% | -0.13% | -13.89% | -14.05% | -16.36% | 10.32% | 6.66% | 18.64% |
MQ Marqeta, Inc. | 1.32% | -1.29% | -19.37% | -22.47% | -30.49% | -8.87% | -34.39% | — |
NFLX Netflix, Inc. | -1.14% | -8.25% | -14.31% | -15.60% | -33.88% | 22.62% | 10.45% | 23.92% |
OPEN Opendoor Technologies Inc. | -0.67% | -3.06% | -23.84% | -32.32% | 662.89% | 16.12% | -23.23% | — |
PLTR Palantir Technologies Inc. | -2.36% | -1.58% | -27.99% | -30.28% | -5.33% | 99.99% | 39.00% | — |
PYPL PayPal Holdings, Inc. | 0.70% | -7.88% | -28.41% | -32.22% | -44.01% | -12.98% | -31.18% | 1.21% |
SOFI SoFi Technologies, Inc. | -0.54% | 8.30% | -36.67% | -39.22% | 11.28% | 20.23% | -5.84% | — |
Monthly Returns
Based on dividend-adjusted daily data since Sep 22, 2021, 10's average daily return is +0.08%, while the average monthly return is +1.63%. At this rate, an investment would double in approximately 3.6 years.
Historically, 48% of months were positive and 52% were negative. The best month was Jan 2023 with a return of +23.5%, while the worst month was Apr 2022 at -16.7%. The longest winning streak lasted 7 consecutive months, and the longest losing streak was 6 months.
On a daily basis, 10 closed higher 52% of trading days. The best single day was Sep 11, 2025 with a return of +19.7%, while the worst single day was May 9, 2022 at -7.2%.
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | Total | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | -3.73% | -2.71% | -4.58% | 3.32% | 1.02% | -3.92% | -10.38% | ||||||
| 2025 | 5.79% | -3.59% | -8.67% | 6.49% | 10.27% | 5.29% | 9.14% | 14.42% | 15.72% | -0.45% | -2.64% | -2.59% | 57.09% |
| 2024 | -3.09% | 11.22% | -0.22% | -4.60% | 4.07% | 2.33% | 5.06% | 3.20% | 5.27% | 5.48% | 21.20% | -2.66% | 55.18% |
| 2023 | 23.53% | -3.92% | 1.43% | -2.99% | 11.28% | 12.12% | 8.90% | -8.58% | -5.56% | -5.09% | 14.15% | 10.68% | 64.27% |
| 2022 | -13.66% | -4.82% | 1.28% | -16.72% | -5.65% | -12.23% | 18.20% | -3.39% | -6.63% | 8.68% | -2.25% | -9.54% | -41.18% |
| 2021 | -0.17% | 9.83% | -8.64% | -1.39% | -1.22% |
Benchmark Metrics
10 has an annualized alpha of 2.48%, beta of 1.40, and R2 of 0.60 versus S&P 500 Index. Calculated based on daily prices since September 22, 2021.
- This portfolio captured 163.63% of S&P 500 Index gains and 136.06% of its losses - amplifying both gains and losses, but participating more in upside than downside.
- This portfolio generated an annualized alpha of 2.48% versus S&P 500 Index - delivering returns beyond what market exposure alone would predict.
- Alpha
- 2.48%
- Beta
- 1.40
- R²
- 0.60
- Upside Capture
- 163.63%
- Downside Capture
- 136.06%
Expense Ratio
10 has an expense ratio of 0.00%, meaning no management fees are charged. Below, you can find the expense ratios of the portfolio's funds side by side and easily compare their relative costs.
Return for Risk
Risk / Return Rank
10 ranks 14 for risk / return — in the bottom 14% of Portfolios on our site. This means you're taking on significantly more risk than the returns justify. Consider whether the potential upside is worth the volatility, or explore alternatives with better risk / return profiles.
Return / Risk — by metrics
The table below presents risk-adjusted performance metrics for 10 and compares them with S&P 500 Index.
Values are calculated on a 1-year rolling basis and updated daily. Risk-adjusted metrics are more stable over longer periods — use the period switch above to explore them.
| Portfolio | Benchmark | Difference | |
|---|---|---|---|
| Sharpe ratioReturn per unit of total volatility | 0.87 | 1.86 | -0.99 |
| Sortino ratioReturn per unit of downside risk | 1.73 | 2.53 | -0.81 |
| Omega ratioGain probability vs. loss probability | 1.20 | 1.34 | -0.14 |
| Calmar ratioReturn relative to maximum drawdown | 1.14 | 2.53 | -1.39 |
| Martin ratioReturn relative to average drawdown | 1.99 | 11.37 | -9.38 |
How much return does each position deliver for the risk it carries? Higher values mean better reward for the risk taken.
| Position | Risk / Return Rank | Sharpe ratio | Sortino ratio | Omega ratio | Calmar ratio | Martin ratio |
|---|---|---|---|---|---|---|
CAKE The Cheesecake Factory Incorporated | 64 | 0.89 | 1.39 | 1.17 | 0.84 | 1.86 |
COIN Coinbase Global, Inc. | 25 | -0.48 | -0.35 | 0.96 | -0.51 | -0.82 |
COST Costco Wholesale Corporation | 37 | -0.08 | 0.02 | 1.00 | -0.10 | -0.22 |
MA Mastercard Incorporated | 11 | -0.74 | -0.91 | 0.89 | -0.79 | -1.59 |
MQ Marqeta, Inc. | 16 | -0.72 | -0.99 | 0.89 | -0.69 | -1.00 |
NFLX Netflix, Inc. | 8 | -1.03 | -1.46 | 0.81 | -0.78 | -1.35 |
OPEN Opendoor Technologies Inc. | 96 | 4.19 | 4.33 | 1.50 | 11.54 | 17.65 |
PLTR Palantir Technologies Inc. | 38 | -0.11 | 0.20 | 1.03 | -0.14 | -0.25 |
PYPL PayPal Holdings, Inc. | 5 | -1.13 | -1.53 | 0.79 | -0.88 | -1.54 |
SOFI SoFi Technologies, Inc. | 48 | 0.20 | 0.66 | 1.08 | 0.21 | 0.39 |
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Dividends
Dividend yield
10 provided a 0.58% dividend yield over the last twelve months.
| Position | TTM | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Portfolio | 0.58% | 0.53% | 0.50% | 0.84% | 0.60% | 0.28% | 0.61% | 0.75% | 0.72% | 0.97% | 0.63% | 1.01% |
| Portfolio components: | ||||||||||||
CAKE The Cheesecake Factory Incorporated | 1.51% | 2.14% | 2.28% | 3.08% | 2.55% | 0.00% | 0.97% | 3.55% | 2.85% | 2.20% | 1.47% | 1.58% |
COIN Coinbase Global, Inc. | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
COST Costco Wholesale Corporation | 0.55% | 0.59% | 0.49% | 2.87% | 0.76% | 0.54% | 3.38% | 0.86% | 1.08% | 4.81% | 1.09% | 4.06% |
MA Mastercard Incorporated | 0.67% | 0.53% | 0.50% | 0.53% | 0.56% | 0.49% | 0.45% | 0.44% | 0.53% | 0.58% | 0.74% | 0.66% |
MQ Marqeta, Inc. | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
NFLX Netflix, Inc. | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
OPEN Opendoor Technologies Inc. | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
PLTR Palantir Technologies Inc. | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
PYPL PayPal Holdings, Inc. | 1.01% | 0.24% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
SOFI SoFi Technologies, Inc. | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
Drawdowns
Drawdowns Chart
The Drawdowns chart displays portfolio losses from any high point along the way. Drawdowns are calculated considering price movements and all distributions paid, if any.
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Worst Drawdowns
The table below displays the maximum drawdowns of the 10. A maximum drawdown is a measure of risk, indicating the largest reduction in portfolio value due to a series of losing trades.
The maximum drawdown for the 10 was 51.53%, occurring on Jun 16, 2022. Recovery took 563 trading sessions.
The current 10 drawdown is 22.26%.
Related event | Drawdown | Fall | Recovery | Underwater |
|---|---|---|---|---|
Bear market2022 | -51.53%Jun 2022 | 7mo 13d | 2y 3mo | 2y 10moNov 2021 - Sep 2024 |
2026 bear market2026 | -24.80%Mar 2026 | 6mo 10d | — | 8mo 28dSep 2025 - now |
2025 selloff2025 | -24.50%Apr 2025 | 1mo 18d | 1mo 8d | 2mo 26dFeb 2025 - May 2025 |
2025 pullback2025 | -9.23%Jan 2025 | 27d | 17d | 1mo 14dDec 2024 - Jan 2025 |
2025 pullback2025 | -7.08%Aug 2025 | 10d | 13d | 23dJul 2025 - Aug 2025 |
Volatility
Volatility Chart
The chart below shows the rolling one-month volatility.
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Diversification
Diversification Metrics
Number of Effective Assets
The portfolio contains 15 assets, with an effective number of assets of 12.99, reflecting the diversification based on asset allocation. Your capital is well-distributed across most of your holdings, with only mild concentration in a few names. True diversification also depends on the correlations between assets — check the diversification ratio below.
Diversification Ratio
1Y | 3Y | All Time | |
|---|---|---|---|
Diversification Ratio | 2.07 | 1.74 | 1.56 |
The portfolio has a diversification ratio of 1.56, in line with the typical range across portfolios. There's room to improve by adding less correlated assets.
10 correlation to the S&P 500 Index
| Correlation | |
|---|---|
Correlation (1Y) Calculated over the trailing 1-year period | 0.56 |
Correlation (3Y) Calculated over the trailing 3-year period | 0.72 |
Correlation (All Time) Calculated using the full available price history since Sep 22, 2021 | 0.77 |
Benchmark Correlations
Correlation vs. S&P 500 Index. PLTR has the highest benchmark correlation at 0.61, while CAKE has the lowest at 0.42.
Asset Correlations Table
Find what 10 is missing
See which holdings overlap, where 10 is concentrated, and which low-correlation assets could fill the gaps.
Analyze Diversification