strong - 10 aug 2024
Total non-financial tickers selected for analysis: 432 APH: Current Price = $62.62, Intrinsic Value = $78.77, Sharpe Ratio = 1.68, Implied Growth Rate = 2.33%, P/E Ratio = 37.50, Forward P/E Ratio = 30.40, P/B Ratio = 9.04, EV/EBITDA Ratio = 23.83, Debt/Equity Ratio = 574766597.52, Decision = Buy T: Current Price = $19.49, Intrinsic Value = $125.56, Sharpe Ratio = 1.88, Implied Growth Rate = -16.68%, P/E Ratio = 11.20, Forward P/E Ratio = 8.55, P/B Ratio = 1.35, EV/EBITDA Ratio = 6.20, Debt/Equity Ratio = 8874835328.81, Decision = Buy AVGO: Current Price = $148.26, Intrinsic Value = $166.67, Sharpe Ratio = 1.56, Implied Growth Rate = 3.63%, P/E Ratio = 63.63, Forward P/E Ratio = 24.51, P/B Ratio = 28.77, EV/EBITDA Ratio = 33.51, Debt/Equity Ratio = 7299591934.72, Decision = Buy COR: Current Price = $237.77, Intrinsic Value = $775.13, Sharpe Ratio = 1.53, Implied Growth Rate = -8.63%, P/E Ratio = 25.76, Forward P/E Ratio = 15.98, P/B Ratio = 89.28, EV/EBITDA Ratio = 11.94, Debt/Equity Ratio = 1556832655.95, Decision = Buy CL: Current Price = $102.07, Intrinsic Value = $163.70, Sharpe Ratio = 2.16, Implied Growth Rate = -0.48%, P/E Ratio = 29.76, Forward P/E Ratio = 26.24, P/B Ratio = 136.95, EV/EBITDA Ratio = 18.76, Debt/Equity Ratio = 11027319960.17, Decision = Buy GD: Current Price = $292.99, Intrinsic Value = $609.45, Sharpe Ratio = 1.64, Implied Growth Rate = -3.47%, P/E Ratio = 22.84, Forward P/E Ratio = 17.83, P/B Ratio = 3.78, EV/EBITDA Ratio = 17.02, Debt/Equity Ratio = 112935183.43, Decision = Buy GDDY: Current Price = $157.53, Intrinsic Value = $302.82, Sharpe Ratio = 3.33, Implied Growth Rate = -2.56%, P/E Ratio = 13.13, Forward P/E Ratio = 24.27, P/B Ratio = 357.03, EV/EBITDA Ratio = 27.05, Debt/Equity Ratio = 8609098233.31, Decision = Buy IBM: Current Price = $191.45, Intrinsic Value = $578.98, Sharpe Ratio = 1.61, Implied Growth Rate = -7.77%, P/E Ratio = 21.13, Forward P/E Ratio = 17.91, P/B Ratio = 7.83, EV/EBITDA Ratio = 14.59, Debt/Equity Ratio = 2048944237.87, Decision = Buy IFF: Current Price = $96.21, Intrinsic Value = $161.09, Sharpe Ratio = 1.83, Implied Growth Rate = -0.97%, P/E Ratio = -10.43, Forward P/E Ratio = 21.01, P/B Ratio = 1.68, EV/EBITDA Ratio = 18.17, Debt/Equity Ratio = 160733943.43, Decision = Buy LDOS: Current Price = $144.21, Intrinsic Value = $312.90, Sharpe Ratio = 2.18, Implied Growth Rate = -3.95%, P/E Ratio = 45.21, Forward P/E Ratio = 15.24, P/B Ratio = 4.62, EV/EBITDA Ratio = 12.26, Debt/Equity Ratio = 149561079.74, Decision = Buy META: Current Price = $517.77, Intrinsic Value = $883.07, Sharpe Ratio = 1.58, Implied Growth Rate = -1.18%, P/E Ratio = 26.46, Forward P/E Ratio = 21.50, P/B Ratio = 7.39, EV/EBITDA Ratio = 17.20, Debt/Equity Ratio = 262236649.36, Decision = Buy MSI: Current Price = $410.76, Intrinsic Value = $472.33, Sharpe Ratio = 2.25, Implied Growth Rate = 3.37%, P/E Ratio = 48.10, Forward P/E Ratio = 28.33, P/B Ratio = 94.66, EV/EBITDA Ratio = 23.31, Debt/Equity Ratio = 1084236004.64, Decision = Buy NTAP: Current Price = $122.49, Intrinsic Value = $327.49, Sharpe Ratio = 1.72, Implied Growth Rate = -6.35%, P/E Ratio = 26.46, Forward P/E Ratio = 16.55, P/B Ratio = 21.97, EV/EBITDA Ratio = 16.97, Debt/Equity Ratio = 357317158.87, Decision = Buy OKE: Current Price = $85.00, Intrinsic Value = $212.89, Sharpe Ratio = 1.72, Implied Growth Rate = -5.60%, P/E Ratio = 18.81, Forward P/E Ratio = 15.15, P/B Ratio = 3.01, EV/EBITDA Ratio = 13.45, Debt/Equity Ratio = 750572628.19, Decision = Buy RTX: Current Price = $116.15, Intrinsic Value = $156.02, Sharpe Ratio = 1.62, Implied Growth Rate = 1.57%, P/E Ratio = 67.53, Forward P/E Ratio = 18.86, P/B Ratio = 2.58, EV/EBITDA Ratio = 20.64, Debt/Equity Ratio = 942210696.01, Decision = Buy REGN: Current Price = $1131.24, Intrinsic Value = $1488.46, Sharpe Ratio = 2.08, Implied Growth Rate = 1.81%, P/E Ratio = 29.94, Forward P/E Ratio = 23.20, P/B Ratio = 4.72, EV/EBITDA Ratio = 27.43, Debt/Equity Ratio = 8277027.74, Decision = Buy RSG: Current Price = $201.22, Intrinsic Value = $278.33, Sharpe Ratio = 2.32, Implied Growth Rate = 1.23%, P/E Ratio = 33.65, Forward P/E Ratio = 29.20, P/B Ratio = 5.99, EV/EBITDA Ratio = 16.13, Debt/Equity Ratio = 354131235.39, Decision = Buy SPG: Current Price = $158.67, Intrinsic Value = $423.42, Sharpe Ratio = 1.59, Implied Growth Rate = -6.33%, P/E Ratio = 20.16, Forward P/E Ratio = 23.68, P/B Ratio = 17.11, EV/EBITDA Ratio = 19.73, Debt/Equity Ratio = 2801361631.09, Decision = Buy TMUS: Current Price = $194.20, Intrinsic Value = $292.18, Sharpe Ratio = 2.53, Implied Growth Rate = 0.26%, P/E Ratio = 24.34, Forward P/E Ratio = 17.23, P/B Ratio = 3.50, EV/EBITDA Ratio = 9.77, Debt/Equity Ratio = 1287289307.03, Decision = Buy TRGP: Current Price = $135.69, Intrinsic Value = $165.93, Sharpe Ratio = 2.33, Implied Growth Rate = 2.66%, P/E Ratio = 28.57, Forward P/E Ratio = 17.83, P/B Ratio = 10.85, EV/EBITDA Ratio = 11.04, Debt/Equity Ratio = 966704393.91, Decision = Buy TT: Current Price = $332.68, Intrinsic Value = $407.28, Sharpe Ratio = 2.03, Implied Growth Rate = 2.64%, P/E Ratio = 32.58, Forward P/E Ratio = 27.03, P/B Ratio = 10.73, EV/EBITDA Ratio = 22.10, Debt/Equity Ratio = 128329810.87, Decision = Buy UHS: Current Price = $215.22, Intrinsic Value = $388.30, Sharpe Ratio = 2.05, Implied Growth Rate = -1.83%, P/E Ratio = 15.83, Forward P/E Ratio = 12.26, P/B Ratio = 2.08, EV/EBITDA Ratio = 9.45, Debt/Equity Ratio = 46279113.38, Decision = Buy VLTO: Current Price = $106.10, Intrinsic Value = $161.86, Sharpe Ratio = 1.54, Implied Growth Rate = 0.10%, P/E Ratio = 33.16, Forward P/E Ratio = 28.60, P/B Ratio = 18.96, EV/EBITDA Ratio = 22.63, Debt/Equity Ratio = 469733676.07, Decision = Buy VST: Current Price = $78.64, Intrinsic Value = $483.10, Sharpe Ratio = 2.38, Implied Growth Rate = -16.10%, P/E Ratio = 47.66, Forward P/E Ratio = 12.06, P/B Ratio = 5.10, EV/EBITDA Ratio = 8.85, Debt/Equity Ratio = 785359713.59, Decision = Buy GWW: Current Price = $979.31, Intrinsic Value = $1429.25, Sharpe Ratio = 1.64, Implied Growth Rate = 0.61%, P/E Ratio = 26.88, Forward P/E Ratio = 23.20, P/B Ratio = 15.35, EV/EBITDA Ratio = 17.56, Debt/Equity Ratio = 35518149.66, Decision = Buy WAB: Current Price = $155.07, Intrinsic Value = $254.93, Sharpe Ratio = 1.56, Implied Growth Rate = -0.76%, P/E Ratio = 27.16, Forward P/E Ratio = 18.44, P/B Ratio = 2.59, EV/EBITDA Ratio = 14.57, Debt/Equity Ratio = 54925310.41, Decision = Buy WMB: Current Price = $43.26, Intrinsic Value = $121.68, Sharpe Ratio = 1.51, Implied Growth Rate = -6.93%, P/E Ratio = 18.65, Forward P/E Ratio = 20.70, P/B Ratio = 4.25, EV/EBITDA Ratio = 12.68, Debt/Equity Ratio = 2297509176.10, Decision = Buy
Asset Allocation
Position | Category/Sector | Target Weight |
---|---|---|
OKE ONEOK, Inc. | Energy | 25% |
REGN Regeneron Pharmaceuticals, Inc. | Healthcare | 25% |
TRGP Targa Resources Corp. | Energy | 25% |
TT Trane Technologies plc | Industrials | 25% |
Performance
Performance Chart
The chart shows the growth of an initial investment of $10,000 in strong - 10 aug 2024, 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.
The earliest data available for this chart is Dec 7, 2010, corresponding to the inception date of TRGP
Returns By Period
As of Apr 21, 2025, the strong - 10 aug 2024 returned -11.13% Year-To-Date and 20.07% of annualized return in the last 10 years.
YTD | 1M | 6M | 1Y | 5Y* | 10Y* | |
---|---|---|---|---|---|---|
^GSPC S&P 500 | -10.18% | -6.79% | -9.92% | 6.35% | 14.12% | 9.63% |
strong - 10 aug 2024 | -12.62% | -10.83% | -23.67% | -5.24% | 18.41% | 8.15% |
Portfolio components: | ||||||
OKE ONEOK, Inc. | -13.19% | -13.20% | -9.44% | 13.29% | 35.45% | 12.67% |
REGN Regeneron Pharmaceuticals, Inc. | -20.84% | -14.48% | -43.08% | -37.12% | 0.71% | 1.63% |
TT Trane Technologies plc | -9.55% | -4.03% | -16.84% | 16.72% | 34.96% | 22.21% |
TRGP Targa Resources Corp. | -1.84% | -11.57% | 8.14% | 57.75% | 90.30% | 10.46% |
Monthly Returns
The table below presents the monthly returns of strong - 10 aug 2024, with color gradation from worst to best to easily spot seasonal factors. Returns are adjusted for dividends.
Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | Total | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
2025 | -0.70% | 1.92% | -4.83% | -9.27% | -12.62% | ||||||||
2024 | 4.43% | 6.84% | 3.70% | -2.27% | 6.57% | 5.20% | 2.82% | 9.48% | -4.18% | -8.28% | 5.44% | -9.35% | 19.89% |
2023 | 5.13% | 0.06% | 4.05% | -0.28% | -9.76% | 4.24% | 4.92% | 7.24% | -0.84% | -3.97% | 8.49% | 5.01% | 25.31% |
2022 | -3.53% | 0.69% | 10.15% | -6.09% | 0.50% | -11.58% | 4.58% | 0.98% | 5.19% | 10.48% | 4.74% | -3.67% | 10.58% |
2021 | 3.13% | -2.78% | 6.74% | 3.60% | 5.31% | 7.60% | 3.11% | 9.23% | -6.90% | 6.73% | -0.92% | 1.38% | 41.23% |
2020 | -6.01% | 11.47% | -14.94% | 11.28% | 15.69% | 0.94% | 3.17% | -0.80% | -7.49% | 1.41% | 2.48% | -2.69% | 10.89% |
2019 | 15.77% | 0.25% | -0.68% | -7.72% | -8.52% | 5.09% | -1.24% | -3.03% | 0.39% | 4.05% | 10.34% | 3.69% | 17.06% |
2018 | 1.10% | -9.67% | 3.62% | -4.77% | 2.90% | 8.77% | 5.81% | 6.28% | 0.59% | -11.27% | 2.36% | -4.99% | -1.53% |
2017 | -0.38% | 1.74% | 3.83% | -0.25% | 7.93% | 5.27% | 1.03% | -0.39% | -5.26% | -7.84% | -6.34% | 4.49% | 2.58% |
2016 | -19.46% | -5.01% | -0.78% | 9.29% | 6.81% | -7.93% | 12.49% | -2.74% | 4.24% | -10.92% | 11.95% | -0.48% | -7.64% |
2015 | -3.41% | 2.42% | 5.77% | 2.58% | 4.21% | -1.40% | 4.84% | -10.13% | -11.03% | 17.87% | -6.12% | -4.17% | -1.95% |
2014 | 4.18% | 9.98% | -5.35% | 3.13% | 3.65% | 2.73% | 1.71% | 9.47% | -0.60% | 3.12% | -0.52% | -3.18% | 30.89% |
Expense Ratio
strong - 10 aug 2024 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.
Risk-Adjusted Performance
Risk-Adjusted Performance Rank
The current rank of strong - 10 aug 2024 is 47, indicating average performance compared to other portfolios on our website. Here’s a breakdown of how it compares using common performance measures.
Risk-Adjusted Performance Indicators
This table presents a comparison of risk-adjusted performance metrics for positions. Risk-adjusted metrics are performance indicators that assess an investment's returns in relation to its risk, enabling a more accurate comparison of different investment options.
Sharpe ratio | Sortino ratio | Omega ratio | Calmar ratio | Martin ratio | |
---|---|---|---|---|---|
OKE ONEOK, Inc. | 0.58 | 0.88 | 1.14 | 0.53 | 1.67 |
REGN Regeneron Pharmaceuticals, Inc. | -1.32 | -1.86 | 0.77 | -0.68 | -1.28 |
TT Trane Technologies plc | 0.50 | 0.84 | 1.11 | 0.57 | 1.56 |
TRGP Targa Resources Corp. | 1.67 | 1.98 | 1.30 | 2.18 | 7.56 |
Dividends
Dividend yield
strong - 10 aug 2024 provided a 1.89% dividend yield over the last twelve months.
TTM | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|
Portfolio | 1.89% | 1.60% | 2.21% | 2.31% | 2.08% | 3.96% | 3.79% | 4.57% | 3.63% | 3.15% | 6.12% | 2.09% |
Portfolio components: | ||||||||||||
OKE ONEOK, Inc. | 4.64% | 3.94% | 5.47% | 5.72% | 6.40% | 9.78% | 4.66% | 6.01% | 5.09% | 4.28% | 9.85% | 4.27% |
REGN Regeneron Pharmaceuticals, Inc. | 0.16% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
TT Trane Technologies plc | 1.04% | 0.91% | 1.23% | 1.59% | 1.17% | 1.46% | 1.59% | 2.15% | 1.91% | 1.81% | 2.10% | 1.58% |
TRGP Targa Resources Corp. | 1.72% | 1.54% | 2.13% | 1.90% | 0.77% | 4.59% | 8.92% | 10.11% | 7.52% | 6.49% | 12.53% | 2.52% |
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.
Worst Drawdowns
The table below displays the maximum drawdowns of the strong - 10 aug 2024. 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 strong - 10 aug 2024 was 42.44%, occurring on Feb 11, 2016. Recovery took 1021 trading sessions.
The current strong - 10 aug 2024 drawdown is 21.50%.
Depth | Start | To Bottom | Bottom | To Recover | End | Total |
---|---|---|---|---|---|---|
-42.44% | Aug 6, 2015 | 131 | Feb 11, 2016 | 1021 | Mar 4, 2020 | 1152 |
-30.65% | Sep 23, 2024 | 136 | Apr 8, 2025 | — | — | — |
-30.32% | Mar 5, 2020 | 12 | Mar 20, 2020 | 50 | Jun 2, 2020 | 62 |
-28.61% | Apr 28, 2011 | 71 | Aug 8, 2011 | 105 | Jan 6, 2012 | 176 |
-22.43% | Apr 11, 2022 | 47 | Jun 16, 2022 | 95 | Nov 1, 2022 | 142 |
Volatility
Volatility Chart
The current strong - 10 aug 2024 volatility is 13.87%, representing the average percentage change in the investments's value, either up or down over the past month. The chart below shows the rolling one-month volatility.
Diversification
Asset Correlations Table
REGN | TT | TRGP | OKE | |
---|---|---|---|---|
REGN | 1.00 | 0.26 | 0.17 | 0.18 |
TT | 0.26 | 1.00 | 0.34 | 0.39 |
TRGP | 0.17 | 0.34 | 1.00 | 0.71 |
OKE | 0.18 | 0.39 | 0.71 | 1.00 |