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MYPORT10Y
Performance
Risk-Adjusted Performance
Dividends
Drawdowns
Volatility
Diversification

Asset Allocation


AAPL 18.61%MSFT 17.9%NVDA 16.5%GOOGL 12.29%LLY 10.3%NVO 3.15%PEP 2.8%AMD 2.8%HD 2.8%AMZN 2.8%V 2.8%ABBV 2.7%COST 2.03%MRK 1.71%EquityEquity
PositionCategory/SectorTarget Weight
AAPL
Apple Inc
Technology
18.61%
ABBV
AbbVie Inc.
Healthcare
2.70%
AMD
Advanced Micro Devices, Inc.
Technology
2.80%
AMZN
Amazon.com, Inc.
Consumer Cyclical
2.80%
COST
Costco Wholesale Corporation
Consumer Defensive
2.03%
GOOGL
Alphabet Inc.
Communication Services
12.29%
HD
The Home Depot, Inc.
Consumer Cyclical
2.80%
LLY
Eli Lilly and Company
Healthcare
10.30%
MRK
Merck & Co., Inc.
Healthcare
1.71%
MSFT
Microsoft Corporation
Technology
17.90%
NEE
NextEra Energy, Inc.
Utilities
0.81%
NVDA
NVIDIA Corporation
Technology
16.50%
NVO
Novo Nordisk A/S
Healthcare
3.15%
PEP
PepsiCo, Inc.
Consumer Defensive
2.80%
V
Visa Inc.
Financial Services
2.80%

Performance

Performance Chart

The chart shows the growth of an initial investment of $10,000 in MYPORT10Y, 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.


-20.00%-10.00%0.00%10.00%AugustSeptemberOctoberNovemberDecember2025
4.42%
5.96%
MYPORT10Y
Benchmark (^GSPC)
Portfolio components

The earliest data available for this chart is Jan 2, 2013, corresponding to the inception date of ABBV

Returns By Period

As of Jan 8, 2025, the MYPORT10Y returned 3.76% Year-To-Date and 50.37% of annualized return in the last 10 years.


YTD1M6M1Y5Y*10Y*
^GSPC
N/AN/AN/AN/AN/AN/A
MYPORT10Y3.76%-1.85%4.42%127.68%64.37%50.37%
AAPL
Apple Inc
-3.28%-0.26%6.16%31.17%26.50%25.59%
NVO
Novo Nordisk A/S
-3.12%-24.76%-40.43%-20.81%25.82%16.81%
COST
Costco Wholesale Corporation
0.56%-7.18%4.18%40.06%27.44%23.07%
LLY
Eli Lilly and Company
0.17%-6.46%-16.82%24.33%43.59%29.69%
MRK
Merck & Co., Inc.
1.55%-1.22%-18.67%-11.59%6.68%8.69%
MSFT
Microsoft Corporation
0.21%-4.78%-7.74%13.57%22.27%26.49%
NEE
NextEra Energy, Inc.
-1.76%-6.39%-1.05%15.20%5.46%13.09%
NVDA
NVIDIA Corporation
4.36%-1.61%6.68%168.25%87.85%76.70%
GOOGL
Alphabet Inc.
3.27%12.02%3.70%41.31%22.63%22.92%
ABBV
AbbVie Inc.
1.03%1.90%8.68%15.28%19.86%15.27%
PEP
PepsiCo, Inc.
-4.38%-7.85%-8.73%-11.26%4.51%7.25%
AMD
Advanced Micro Devices, Inc.
5.41%-8.12%-28.10%-12.90%21.13%47.54%
HD
The Home Depot, Inc.
-1.22%-10.93%15.28%13.14%14.04%16.60%
AMZN
Amazon.com, Inc.
1.24%-2.17%11.42%48.97%18.56%31.15%
V
Visa Inc.
-1.38%0.21%17.88%19.62%10.85%17.81%
*Annualized

Monthly Returns

The table below presents the monthly returns of MYPORT10Y, with color gradation from worst to best to easily spot seasonal factors. Returns are adjusted for dividends.


JanFebMarAprMayJunJulAugSepOctNovDecTotal
202418.90%23.18%11.21%-4.31%22.98%11.60%-5.22%2.37%1.62%7.05%3.73%-2.51%128.29%
202321.13%10.87%17.49%1.19%26.83%9.51%7.74%4.33%-10.02%-4.15%13.68%5.32%157.41%
2022-13.81%-0.68%8.37%-24.57%0.83%-14.05%16.20%-12.25%-15.31%7.75%16.46%-11.28%-41.70%
20210.37%2.45%-1.62%9.92%4.03%17.20%1.16%10.74%-7.18%18.87%19.87%-6.07%88.68%
20203.42%2.47%-3.05%12.63%12.44%7.05%10.91%19.39%-2.74%-6.06%8.46%0.67%83.99%
20196.98%5.12%10.43%3.00%-14.02%11.95%2.84%0.37%2.14%9.73%6.67%7.45%63.27%
201818.49%-1.57%-4.53%-0.87%10.23%-2.96%5.18%12.62%1.09%-18.48%-10.62%-12.56%-9.92%
20172.74%0.67%4.40%-0.54%17.65%-0.70%7.71%3.83%2.96%10.85%-0.41%-1.74%56.72%
2016-6.00%-2.09%9.09%-3.39%11.92%-1.08%13.07%2.39%4.89%0.82%10.56%9.80%59.62%
2015-1.58%8.01%-2.89%4.69%1.69%-3.21%4.48%-1.98%1.07%11.70%4.35%0.62%29.14%
2014-1.47%7.10%-0.38%1.02%3.45%1.75%-0.74%6.23%-0.84%2.51%4.73%-3.56%20.99%

Expense Ratio

MYPORT10Y has an expense ratio of 0.00%, indicating no management fees are charged. Below you can find the expense ratios of portfolio funds side-by-side and effortlessly compare their relative costs.


The portfolio doesn't hold funds that charge fees

Risk-Adjusted Performance

Risk-Adjusted Performance Rank

With an overall rank of 90, MYPORT10Y is among the top 10% of portfolios on our website when it comes to balancing risk and reward. Below is a breakdown of how it compares using common performance measures.


The Risk-Adjusted Performance Rank of MYPORT10Y is 9090
Overall Rank
The Sharpe Ratio Rank of MYPORT10Y is 9292
Sharpe Ratio Rank
The Sortino Ratio Rank of MYPORT10Y is 8989
Sortino Ratio Rank
The Omega Ratio Rank of MYPORT10Y is 8686
Omega Ratio Rank
The Calmar Ratio Rank of MYPORT10Y is 9393
Calmar Ratio Rank
The Martin Ratio Rank of MYPORT10Y is 9090
Martin Ratio Rank
The risk-adjusted ranks indicate the investment's position relative to the market. A rank closer to 100 signifies top-performing investments, while a rank closer to 0 might suggest underperformance, based on the selected ratio. The values are calculated based on the past 12 months of returns.

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
The chart of Sharpe ratio for MYPORT10Y, currently valued at 3.06, compared to the broader market-1.000.001.002.003.004.005.003.06
The chart of Sortino ratio for MYPORT10Y, currently valued at 3.43, compared to the broader market0.002.004.003.43
The chart of Omega ratio for MYPORT10Y, currently valued at 1.43, compared to the broader market0.801.001.201.401.601.43
The chart of Calmar ratio for MYPORT10Y, currently valued at 5.59, compared to the broader market0.002.004.006.008.0010.005.59
The chart of Martin ratio for MYPORT10Y, currently valued at 17.65, compared to the broader market0.0010.0020.0030.0040.0017.65
MYPORT10Y
^GSPC

Portfolio components
Sharpe ratioSortino ratioOmega ratioCalmar ratioMartin ratio
AAPL
Apple Inc
1.522.221.282.075.42
NVO
Novo Nordisk A/S
-0.58-0.600.92-0.48-1.32
COST
Costco Wholesale Corporation
2.202.781.394.029.87
LLY
Eli Lilly and Company
0.861.391.181.072.85
MRK
Merck & Co., Inc.
-0.55-0.630.91-0.42-0.88
MSFT
Microsoft Corporation
0.791.111.151.012.26
NEE
NextEra Energy, Inc.
0.661.001.130.442.24
NVDA
NVIDIA Corporation
3.503.641.466.8621.00
GOOGL
Alphabet Inc.
1.592.161.292.014.88
ABBV
AbbVie Inc.
0.620.911.150.782.01
PEP
PepsiCo, Inc.
-0.68-0.890.90-0.51-1.66
AMD
Advanced Micro Devices, Inc.
-0.170.091.01-0.19-0.31
HD
The Home Depot, Inc.
0.721.121.130.831.75
AMZN
Amazon.com, Inc.
1.882.521.322.648.81
V
Visa Inc.
1.241.711.241.684.26

The current MYPORT10Y Sharpe ratio is 3.06. This value is calculated based on the past 1 year of trading data and takes into account price changes and dividends.

Compared to the broad market, where average Sharpe ratios range from 1.41 to 2.17, this portfolio's current Sharpe ratio is in the top 25%, it signifies superior risk-adjusted performance. This means that for the level of risk undertaken, the portfolio is generating impressive returns compared to most others.

Use the chart below to compare the Sharpe ratio of MYPORT10Y with the selected benchmark, providing insights into the investment's historical performance in terms of risk-adjusted returns. Go to the Sharpe ratio tool for more fine-grained control over the calculation options.


Rolling 12-month Sharpe Ratio1.002.003.004.005.00AugustSeptemberOctoberNovemberDecember2025
3.06
2.03
MYPORT10Y
Benchmark (^GSPC)
Portfolio components

Dividends

Dividend yield

MYPORT10Y provided a 0.74% dividend yield over the last twelve months.


TTM20242023202220212020201920182017201620152014
Portfolio0.74%0.73%0.74%0.81%0.71%0.95%1.09%1.36%1.36%1.62%1.66%1.70%
AAPL
Apple Inc
0.41%0.40%0.49%0.70%0.49%0.61%1.04%1.79%1.45%1.93%1.93%1.67%
NVO
Novo Nordisk A/S
1.73%1.68%1.00%1.20%1.34%1.86%2.14%2.47%2.12%3.93%1.31%1.96%
COST
Costco Wholesale Corporation
0.49%0.49%2.87%0.76%0.54%3.38%0.86%1.08%4.81%1.09%4.06%0.97%
LLY
Eli Lilly and Company
0.67%0.67%0.78%1.07%1.23%1.75%1.96%1.95%2.46%2.77%2.37%2.84%
MRK
Merck & Co., Inc.
3.09%3.14%2.72%2.52%3.41%3.03%2.48%2.60%3.36%3.14%3.43%3.12%
MSFT
Microsoft Corporation
0.73%0.73%0.74%1.06%0.68%0.94%1.20%1.69%1.86%2.37%2.33%2.48%
NEE
NextEra Energy, Inc.
2.92%2.87%3.08%2.03%1.65%1.81%2.06%2.55%2.52%2.91%2.96%2.73%
NVDA
NVIDIA Corporation
0.02%0.02%0.03%0.11%0.05%0.12%0.27%0.46%0.29%0.45%1.20%1.70%
GOOGL
Alphabet Inc.
0.31%0.32%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
ABBV
AbbVie Inc.
3.45%3.49%3.82%3.49%3.84%4.41%4.83%3.89%2.65%3.64%3.41%2.54%
PEP
PepsiCo, Inc.
3.67%3.51%2.91%2.50%2.45%2.71%2.77%3.25%2.64%2.83%2.76%2.68%
AMD
Advanced Micro Devices, 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%
HD
The Home Depot, Inc.
2.34%2.31%2.41%2.41%1.59%2.26%2.49%2.40%1.88%2.06%1.78%1.79%
AMZN
Amazon.com, 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%
V
Visa Inc.
0.69%0.68%0.72%0.76%0.62%0.56%0.56%0.67%0.61%0.75%0.64%0.64%

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.


-25.00%-20.00%-15.00%-10.00%-5.00%0.00%AugustSeptemberOctoberNovemberDecember2025
-5.51%
-2.98%
MYPORT10Y
Benchmark (^GSPC)
Portfolio components

Worst Drawdowns

The table below displays the maximum drawdowns of the MYPORT10Y. 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 MYPORT10Y was 53.79%, occurring on Oct 14, 2022. Recovery took 153 trading sessions.

The current MYPORT10Y drawdown is 5.51%.


Depth

Start

To Bottom

Bottom

To Recover

End

Total

-53.79%Nov 30, 2021221Oct 14, 2022153May 25, 2023374
-41.45%Oct 2, 201858Dec 24, 2018249Dec 19, 2019307
-31.55%Feb 20, 202018Mar 16, 202039May 11, 202057
-25%Jul 11, 202420Aug 7, 202447Oct 14, 202467
-17.54%Feb 17, 202114Mar 8, 202125Apr 13, 202139

Volatility

Volatility Chart

The current MYPORT10Y volatility is 11.27%, 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.


0.00%5.00%10.00%15.00%20.00%AugustSeptemberOctoberNovemberDecember2025
11.27%
4.47%
MYPORT10Y
Benchmark (^GSPC)
Portfolio components

Diversification

Asset Correlations Table

The table below displays the correlation coefficients between the individual components of the portfolio, the entire portfolio, and the chosen benchmark.

NEEMRKNVOABBVAMDLLYPEPHDNVDACOSTAAPLAMZNVGOOGLMSFT
NEE1.000.250.200.220.120.250.450.300.150.300.210.200.270.240.28
MRK0.251.000.340.430.110.470.370.250.120.260.200.190.320.240.27
NVO0.200.341.000.300.200.400.230.250.250.250.240.260.300.300.32
ABBV0.220.430.301.000.140.410.320.300.200.250.220.230.340.280.29
AMD0.120.110.200.141.000.170.130.300.620.270.400.430.360.410.45
LLY0.250.470.400.410.171.000.300.260.220.290.240.260.290.290.32
PEP0.450.370.230.320.130.301.000.370.160.410.280.250.380.290.34
HD0.300.250.250.300.300.260.371.000.350.480.360.390.450.390.43
NVDA0.150.120.250.200.620.220.160.351.000.360.480.520.420.510.55
COST0.300.260.250.250.270.290.410.480.361.000.390.410.400.410.46
AAPL0.210.200.240.220.400.240.280.360.480.391.000.500.440.540.57
AMZN0.200.190.260.230.430.260.250.390.520.410.501.000.480.650.60
V0.270.320.300.340.360.290.380.450.420.400.440.481.000.530.54
GOOGL0.240.240.300.280.410.290.290.390.510.410.540.650.531.000.65
MSFT0.280.270.320.290.450.320.340.430.550.460.570.600.540.651.00
The correlation results are calculated based on daily price changes starting from Jan 3, 2013
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Disclaimer

The information contained herein does not constitute investment advice and made available for educational purposes only. Prices and returns on equities are listed without consideration of fees, commissions, taxes, penalties, or interest payable due to purchasing, holding, or selling.

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