PortfoliosLab logo
PortfoliosLab logo
Инструменты
Анализ доходности
Анализ портфеля
Факторный анализ
Портфели
Ленивые портфелиПользовательские портфели
Обсуждения
Optimized Millenium Management HMVO Pure
Доходность
Риск-скорректированная доходность
Дивиденды
Просадки
Волатильность
Диверсификация

Распределение активов


JNPR 26.76%EDR 11.21%CME 11.1%SHEL 5.93%BSX 4.81%LNG 4.47%WMT 4.19%SPY 4.17%IVV 4.07%ICE 3.05%XLF 2.84%V 2.47%MDT 2.43%RTX 2%SPOT 1.61%HES 1.14%ACN 1.05%КриптовалютаКриптовалютаАкцииАкции
ПозицияКатегория/СекторЦелевая доля
AAPL
Apple Inc
Technology
0.70%
ACN
Accenture plc
Technology
1.05%
ADBE
Adobe Inc
Technology
0.11%
ANSS
ANSYS, Inc.
Technology
0.06%
APO
Apollo Global Management, Inc.
Financial Services
0.04%
BSX
Boston Scientific Corporation
Healthcare
4.81%
CME
CME Group Inc.
Financial Services
11.10%
CRH
CRH plc
Basic Materials
0.10%
CVS
CVS Health Corporation
Healthcare
0.05%
DFS
Discover Financial Services
Financial Services
0.17%
DY
Dycom Industries, Inc.
Industrials
0.16%
EDR
Endeavor Group Holdings, Inc.
Communication Services
11.21%
ETN
Eaton Corporation plc
Industrials
0.31%
FAF
First American Financial Corporation
Financial Services
0%
FBTC
Fidelity Wise Origin Bitcoin Trust
Blockchain
0.11%
FERG
Ferguson plc
Industrials
0.53%
FTNT
Fortinet, Inc.
Technology
0.02%
GOOG
Alphabet Inc.
Communication Services
0.07%
GOOGL
Alphabet Inc.
Communication Services
0.09%
HES
1.14%
IBIT
0.10%
ICE
3.05%
IFF
0.27%
IVV
4.07%
JNPR
26.76%
KKR
0.02%
LLY
0.39%
LNG
4.47%
MDT
2.43%
META
0.14%
MMM
0.59%
MSCI
0.08%
MSFT
0.41%
NVDA
0.01%
PFE
0.75%
PH
0.10%
PNC
0.21%
RTX
2%
SHEL
5.93%
SPOT
1.61%
SPY
4.17%
TSM
0.17%
TTD
0.13%
V
2.47%
WDAY
0.52%
WFC
0.29%
WMT
4.19%
XLF
2.84%

Доходность

График доходности

График показывает рост $10,000 инвестированных в Optimized Millenium Management HMVO Pure и сравнивает его с ростом индекса S&P 500 или другим бенчмарком. Цены представлены с поправкой на сплиты и дивиденды. Портфель перебалансируется каждые 3 месяца


5.00%10.00%15.00%20.00%25.00%30.00%NovemberDecember2025FebruaryMarchApril
20.06%
10.51%
Optimized Millenium Management HMVO Pure
Benchmark (^GSPC)
Активы портфеля

Самые ранние данные для этого графика доступны с 11 янв. 2024 г., начальной даты FBTC

Доходность по периодам


С начала года1 месяц6 месяцев1 год5 лет10 лет
^GSPC
S&P 500
-10.18%-6.92%-9.92%5.42%12.98%9.70%
Optimized Millenium Management HMVO Pure-0.89%-4.05%0.02%14.65%N/AN/A
AAPL
Apple Inc
-21.25%-8.48%-15.99%18.48%23.54%21.45%
ACN
Accenture plc
-19.00%-12.55%-24.39%-9.06%11.71%13.62%
ADBE
Adobe Inc
-21.56%-10.08%-29.52%-26.29%0.27%16.72%
ANSS
ANSYS, Inc.
-10.25%-6.28%-7.53%-6.71%2.79%13.36%
APO
Apollo Global Management, Inc.
-23.02%-11.59%-12.07%19.81%30.19%25.04%
BSX
Boston Scientific Corporation
6.49%-5.57%8.00%41.09%20.01%17.96%
CME
CME Group Inc.
13.61%-1.11%18.99%31.02%10.96%15.88%
CRH
CRH plc
-8.04%-14.19%-8.66%11.61%28.09%14.54%
CVS
CVS Health Corporation
51.80%-0.91%14.19%1.39%4.46%-1.30%
DFS
Discover Financial Services
-7.53%-1.59%8.17%30.84%38.70%12.90%
DY
Dycom Industries, Inc.
-11.23%-2.28%-22.09%14.70%40.45%12.45%
EDR
Endeavor Group Holdings, Inc.
-6.34%0.69%-0.29%11.55%N/AN/A
ETN
Eaton Corporation plc
-18.85%-8.91%-22.44%-12.03%30.25%17.69%
FAF
First American Financial Corporation
-4.40%-9.61%-10.05%10.90%9.51%8.51%
FBTC
Fidelity Wise Origin Bitcoin Trust
-9.10%-0.67%23.54%33.41%N/AN/A
FERG
Ferguson plc
-4.89%0.30%-18.88%-20.23%25.12%13.51%
FTNT
Fortinet, Inc.
1.75%-2.08%18.58%50.13%33.68%28.94%
GOOG
Alphabet Inc.
-19.38%-7.77%-6.87%-2.14%19.20%19.24%
GOOGL
Alphabet Inc.
-20.06%-7.77%-7.29%-2.65%18.94%18.84%
HES
-1.45%-16.46%-5.64%-12.72%N/AN/A
IBIT
-9.03%-0.72%23.52%33.28%N/AN/A
ICE
6.76%-8.66%-4.37%22.56%N/AN/A
IFF
-13.82%-9.54%-29.95%-11.72%N/AN/A
IVV
-9.91%-6.93%-9.41%6.77%N/AN/A
JNPR
-7.77%-4.85%-11.37%-2.75%N/AN/A
KKR
-30.03%-11.30%-25.88%11.38%N/AN/A
LLY
8.99%0.35%-8.19%13.33%N/AN/A
LNG
7.72%1.84%27.35%45.38%N/AN/A
MDT
4.23%-9.38%-8.96%7.83%N/AN/A
META
-14.28%-14.14%-12.86%0.30%N/AN/A
MMM
1.37%-15.01%-2.66%45.58%N/AN/A
MSCI
-8.57%-4.12%-9.53%9.43%N/AN/A
MSFT
-12.57%-5.17%-11.70%-8.33%N/AN/A
NVDA
-24.42%-13.64%-26.44%19.90%N/AN/A
PFE
-15.17%-15.53%-21.78%-7.33%N/AN/A
PH
-11.59%-10.95%-11.99%5.35%N/AN/A
PNC
-19.53%-11.46%-18.06%6.83%N/AN/A
RTX
11.94%-4.75%3.42%30.79%N/AN/A
SHEL
4.93%-9.06%-0.90%-4.69%N/AN/A
SPOT
28.36%-2.04%51.57%98.57%N/AN/A
SPY
-9.91%-6.90%-9.38%6.72%N/AN/A
TSM
-22.87%-12.67%-23.89%16.32%N/AN/A
TTD
-57.24%-9.15%-57.68%-37.80%N/AN/A
V
4.47%-3.02%13.83%22.37%N/AN/A
WDAY
-14.34%-12.47%-9.60%-13.54%N/AN/A
WFC
-7.42%-11.06%1.62%12.84%N/AN/A
WMT
3.46%8.28%15.22%59.09%N/AN/A
XLF
-3.13%-5.55%-1.26%18.95%N/AN/A
*Среднегодовая

Доходность по месяцам

Ниже представлена таблица с месячной доходностью Optimized Millenium Management HMVO Pure, с цветовой градацией от худшего до лучшего месяца, для легкого выявления сезонных факторов. Значения учитывают дивиденды.


янв.февр.мартапр.майиюньиюльавг.сент.окт.нояб.дек.Total
20251.87%3.40%-1.86%-4.12%-0.89%
20241.16%2.65%2.42%-2.17%2.60%1.57%2.75%4.36%0.89%1.03%2.53%-0.31%21.14%

Комиссия

Комиссия Optimized Millenium Management HMVO Pure составляет 0.01%, что ниже среднего уровня по рынку. Ниже вы найдете коэффициенты расходов позиций портфеля для легкого сравнения их относительной стоимости.


График комиссии FBTC с текущим значением в {{expenseRatio}} в сравнении с значениями по рынку от 0.00% до 2.12%.0.50%1.00%1.50%2.00%
FBTC: 0.25%

Риск-скорректированная доходность

Ранг риск-скорректированной доходности

Текущий рейтинг Optimized Millenium Management HMVO Pure составляет 90, что ставит его в топ 10% среди портфелей на нашем сайте по соотношению риска и доходности. Ниже приведена разбивка по ключевым показателям эффективности.


Ранг риск-скорректированной доходности Optimized Millenium Management HMVO Pure, с текущим значением в 9090
Общий ранг
Ранг коэф-та Шарпа Optimized Millenium Management HMVO Pure, с текущим значением в 9090
Ранг коэф-та Шарпа
Ранг коэф-та Сортино Optimized Millenium Management HMVO Pure, с текущим значением в 8888
Ранг коэф-та Сортино
Ранг коэф-та Омега Optimized Millenium Management HMVO Pure, с текущим значением в 9494
Ранг коэф-та Омега
Ранг коэф-та Кальмара Optimized Millenium Management HMVO Pure, с текущим значением в 8888
Ранг коэф-та Кальмара
Ранг коэф-та Мартина Optimized Millenium Management HMVO Pure, с текущим значением в 9090
Ранг коэф-та Мартина
Ранг риск-скорректированной доходности показывает позицию инструмента относительно рынка. Значение, ближе к 100, означает результат выше рынка, в то время как ранг, ближе к 0, указывает на значительное отставание выбранного показателя. Значения рассчитываются на основе доходности за последние 12 месяцев.

Показатели риск-скорректированной доходности

В таблице представлено сравнение показателей доходности скорректированной на риск для позиций. Риск-скорректированные показатели оценивают доходность инвестиций с учетом их рискованности, что позволяет более точно сравнивать различные активы между собой.


Коэффициент Шарпа
Коэффициент Шарпа Portfolio, с текущим значением в 1.32, в сравнении с широким рынком-4.00-2.000.002.00
Portfolio: 1.32
^GSPC: 0.24
Коэффициент Сортино Portfolio, с текущим значением в 1.75, в сравнении с широким рынком-6.00-4.00-2.000.002.004.00
Portfolio: 1.75
^GSPC: 0.47
Коэффициент Омега Portfolio, с текущим значением в 1.31, в сравнении с широким рынком0.400.600.801.001.201.401.60
Portfolio: 1.31
^GSPC: 1.07
Коэффициент Кальмара Portfolio, с текущим значением в 1.36, в сравнении с широким рынком0.001.002.003.004.005.006.00
Portfolio: 1.36
^GSPC: 0.24
Коэффициент Мартина Portfolio, с текущим значением в 6.69, в сравнении с широким рынком0.005.0010.0015.0020.00
Portfolio: 6.69
^GSPC: 1.08

Активы портфеля
Коэффициент ШарпаКоэффициент СортиноКоэффициент ОмегаКоэффициент КальмараКоэффициент Мартина
AAPL
Apple Inc
0.520.951.140.502.03
ACN
Accenture plc
-0.32-0.280.96-0.29-0.91
ADBE
Adobe Inc
-0.73-0.850.87-0.58-1.45
ANSS
ANSYS, Inc.
-0.30-0.270.97-0.34-1.13
APO
Apollo Global Management, Inc.
0.450.891.130.491.68
BSX
Boston Scientific Corporation
1.762.271.362.5511.06
CME
CME Group Inc.
1.912.531.332.847.88
CRH
CRH plc
0.260.611.070.321.03
CVS
CVS Health Corporation
0.050.361.050.040.12
DFS
Discover Financial Services
0.821.511.191.314.24
DY
Dycom Industries, Inc.
0.330.741.100.431.19
EDR
Endeavor Group Holdings, Inc.
0.550.761.210.611.67
ETN
Eaton Corporation plc
-0.36-0.260.96-0.40-1.07
FAF
First American Financial Corporation
0.470.791.100.631.61
FBTC
Fidelity Wise Origin Bitcoin Trust
0.641.261.141.242.76
FERG
Ferguson plc
-0.70-0.880.89-0.68-1.50
FTNT
Fortinet, Inc.
1.172.141.301.886.25
GOOG
Alphabet Inc.
-0.040.171.02-0.04-0.10
GOOGL
Alphabet Inc.
-0.050.151.02-0.05-0.13
HES
-0.42-0.370.95-0.53-0.95
IBIT
0.641.261.141.242.75
ICE
1.291.751.261.665.03
IFF
-0.41-0.410.94-0.30-0.76
IVV
0.310.571.080.311.41
JNPR
-0.24-0.220.96-0.28-0.70
KKR
0.170.561.080.180.59
LLY
0.370.791.100.541.11
LNG
1.782.241.322.307.49
MDT
0.360.621.080.581.33
META
0.020.291.040.020.07
MMM
1.342.451.332.549.32
MSCI
0.270.531.080.301.18
MSFT
-0.43-0.460.94-0.45-1.04
NVDA
0.270.791.100.441.21
PFE
-0.35-0.340.96-0.29-0.71
PH
0.120.431.060.160.56
PNC
0.290.601.080.260.85
RTX
1.341.901.282.267.17
SHEL
-0.21-0.130.98-0.26-0.64
SPOT
2.102.871.383.7814.05
SPY
0.300.561.080.311.40
TSM
0.220.631.080.270.83
TTD
-0.66-0.640.90-0.57-1.55
V
1.051.491.221.495.30
WDAY
-0.39-0.340.96-0.44-1.32
WFC
0.520.951.130.712.05
WMT
2.323.151.442.629.19
XLF
1.001.441.221.275.28

Optimized Millenium Management HMVO Pure на текущий момент имеет коэффициент Шарпа равный 1.32. Это значение рассчитано на основе данных за прошедший период в 1 year и учитывает как изменения цен, так и дивиденды.

По сравнению с широким рынком, где средние значения коэффициента Шарпа находятся в диапазоне от 0.21 до 0.77, текущий коэффициент Шарпа этого портфеля входит в верхние 25%, что свидетельствует о выдающейся эффективности с учётом риска. Это означает, что портфель показывает впечатляющие доходы при принятом уровне риска, по сравнению с большинством других портфелей.

Используйте график ниже, чтобы сравнить коэффициент Шарпа с бенчмарком для анализа эффективности инвестиции или перейдите к инструменту коэффициента Шарпа для более детального контроля над параметрами расчета.


Скользящий 12-месячный коэффициент Шарпа0.001.002.003.004.00Jan 19Jan 26Feb 02Feb 09Feb 16Feb 23Mar 02Mar 09Mar 16Mar 23Mar 30Apr 06Apr 13
1.32
0.24
Optimized Millenium Management HMVO Pure
Benchmark (^GSPC)
Активы портфеля

Дивиденды

Дивидендный доход

Дивидендная доходность Optimized Millenium Management HMVO Pure за предыдущие двенадцать месяцев составила 2.04%.


TTM20242023202220212020201920182017201620152014
Портфель2.04%2.02%2.22%2.12%1.65%2.19%2.07%2.02%1.71%1.94%2.12%1.61%
AAPL
Apple Inc
0.51%0.40%0.49%0.70%0.49%0.61%1.04%1.79%1.45%1.93%1.93%1.67%
ACN
Accenture plc
2.03%1.52%1.33%1.51%0.87%1.26%1.07%1.98%1.66%1.97%2.03%2.18%
ADBE
Adobe 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%
ANSS
ANSYS, 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%
APO
Apollo Global Management, Inc.
1.46%1.10%1.81%2.51%2.90%4.72%4.23%7.86%5.53%6.46%12.91%13.19%
BSX
Boston Scientific Corporation
0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
CME
CME Group Inc.
4.00%4.48%4.58%5.05%3.00%3.24%2.74%2.42%4.20%4.90%5.41%4.38%
CRH
CRH plc
1.68%1.51%3.41%3.07%2.20%2.17%2.02%3.15%1.99%2.02%2.40%3.54%
CVS
CVS Health Corporation
3.95%5.93%3.06%2.36%1.94%2.93%2.69%3.05%2.76%2.15%1.43%1.14%
DFS
Discover Financial Services
1.75%1.62%2.40%2.35%1.63%1.94%1.98%2.54%1.69%1.61%2.01%1.40%
DY
Dycom Industries, 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%
EDR
Endeavor Group Holdings, Inc.
0.82%0.77%0.51%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
ETN
Eaton Corporation plc
1.44%1.13%1.43%2.06%1.76%2.43%3.00%3.85%3.04%3.40%4.23%2.88%
FAF
First American Financial Corporation
3.63%3.43%3.26%3.94%2.48%3.45%2.88%3.58%2.57%3.28%2.79%2.48%
FBTC
Fidelity Wise Origin Bitcoin Trust
0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
FERG
Ferguson plc
1.97%1.84%1.57%2.76%2.34%2.33%2.27%9.77%1.99%2.15%2.77%2.59%
FTNT
Fortinet, 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%
GOOG
Alphabet Inc.
0.52%0.32%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
GOOGL
Alphabet Inc.
0.53%0.32%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
HES
1.48%1.41%1.22%1.06%1.35%1.89%1.50%2.47%2.11%1.61%2.06%1.35%
IBIT
0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
ICE
1.15%1.21%1.31%1.48%0.97%1.04%1.19%1.27%1.13%1.21%1.13%1.19%
IFF
2.21%1.89%4.00%3.05%2.07%2.79%2.29%2.12%1.74%2.04%1.72%1.70%
IVV
1.46%1.30%1.44%1.66%1.20%1.57%1.99%2.21%1.75%2.01%2.27%1.83%
JNPR
2.56%2.35%2.99%2.63%2.24%3.55%3.09%2.68%1.40%1.42%1.45%0.90%
KKR
0.68%0.47%0.78%1.31%0.77%1.31%1.71%3.23%3.18%4.16%10.13%8.75%
LLY
0.64%0.67%0.78%1.07%1.23%1.75%1.96%1.94%2.46%2.77%2.37%2.84%
LNG
0.59%0.84%0.95%0.92%0.33%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
MDT
3.39%3.49%3.34%3.44%2.39%1.95%1.87%2.15%2.24%2.34%1.88%1.66%
META
0.40%0.34%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
MMM
2.17%2.60%5.49%4.97%3.33%3.36%3.26%2.86%2.00%2.49%2.72%2.08%
MSCI
1.21%1.07%0.98%0.98%0.59%0.65%0.98%1.30%1.04%1.27%1.11%0.38%
MSFT
0.86%0.73%0.74%1.06%0.68%0.94%1.20%1.69%1.86%2.37%2.33%2.48%
NVDA
0.04%0.03%0.03%0.11%0.05%0.12%0.27%0.46%0.29%0.45%1.20%1.70%
PFE
7.63%6.33%5.70%3.12%2.64%3.91%3.68%3.12%3.53%3.69%3.47%3.34%
PH
1.16%1.00%1.25%1.73%1.25%1.29%1.65%1.97%1.32%1.80%2.60%1.61%
PNC
4.20%3.27%3.94%3.64%2.39%3.09%2.63%2.91%1.80%1.81%2.11%2.06%
RTX
1.96%2.14%2.76%2.14%2.33%2.64%1.96%2.66%2.13%2.39%2.66%2.05%
SHEL
4.27%4.39%3.76%3.48%3.78%5.44%6.14%5.48%4.79%5.88%6.98%4.72%
SPOT
0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
SPY
1.36%1.21%1.40%1.65%1.20%1.52%1.75%2.04%1.80%2.03%2.06%1.87%
TSM
1.61%1.18%1.78%2.48%1.56%1.58%3.49%3.55%2.32%2.61%2.54%1.79%
TTD
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
0.67%0.68%0.72%0.76%0.62%0.56%0.56%0.67%0.61%0.75%0.64%0.64%
WDAY
0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
WFC
2.40%2.14%2.64%2.66%1.25%4.04%3.57%3.56%2.54%2.75%2.71%2.46%
WMT
0.92%0.92%1.45%1.58%1.52%1.50%1.78%2.23%2.07%2.89%3.20%2.24%
XLF
1.53%1.42%1.71%2.04%1.63%2.03%1.86%2.09%1.48%1.63%2.40%1.98%

Просадки

График просадок

На графике просадок отображаются убытки портфеля с любого максимума на всем периоде.


-20.00%-15.00%-10.00%-5.00%0.00%NovemberDecember2025FebruaryMarchApril
-6.91%
-14.02%
Optimized Millenium Management HMVO Pure
Benchmark (^GSPC)
Активы портфеля

Максимальные просадки

Optimized Millenium Management HMVO Pure показал максимальную просадку в 10.73%, зарегистрированную 8 апр. 2025 г.. Портфель еще не восстановился от этой просадки.

Текущая просадка Optimized Millenium Management HMVO Pure составляет 6.91%.

В таблице ниже показаны максимальные просадки. Максимальная просадка - показатель риска. Он показывает снижение стоимости портфеля от максимума после серии убыточных торгов.


Глубина

Начало

Падение

Дно

Восстановление

Окончание

Всего

-10.73%14 февр. 2025 г.378 апр. 2025 г.
-2.97%27 янв. 2025 г.329 янв. 2025 г.810 февр. 2025 г.11
-2.92%9 апр. 2024 г.171 мая 2024 г.3420 июн. 2024 г.51
-2.19%6 дек. 2024 г.1019 дек. 2024 г.1514 янв. 2025 г.25
-2.05%31 июл. 2024 г.45 авг. 2024 г.38 авг. 2024 г.7

Волатильность

График волатильности

Текущая волатильность Optimized Millenium Management HMVO Pure составляет 8.16%, что отражает среднее процентное изменение стоимости инвестиций вверх или вниз за последний месяц. Ниже представлен график, показывающий скользящую волатильность за один месяц.


2.00%4.00%6.00%8.00%10.00%12.00%14.00%NovemberDecember2025FebruaryMarchApril
8.16%
13.60%
Optimized Millenium Management HMVO Pure
Benchmark (^GSPC)
Активы портфеля

Диверсификация

Таблица корреляции активов

Таблица ниже отображает коэффициенты корреляции между отдельными компонентами портфеля, всем портфелем и выбранным бенчмарком.

EDRCMECVSPFEJNPRHESSHELLNGMDTWMTRTXLLYFBTCIBITAAPLSPOTIFFACNFAFTTDFTNTWDAYICENVDATSMVADBEDYMMMBSXWFCMSCIGOOGLGOOGMETADFSPNCMSFTFERGANSSCRHAPOETNKKRXLFPHIVVSPY
EDR1.000.010.140.060.030.080.110.030.080.010.05-0.000.120.120.150.120.130.070.200.090.100.020.050.010.000.100.080.060.140.040.120.150.170.170.150.130.130.080.030.100.120.030.040.110.130.130.140.14
CME0.011.000.050.13-0.030.04-0.060.020.130.180.180.060.010.01-0.10-0.110.080.070.14-0.15-0.05-0.030.24-0.19-0.190.17-0.05-0.020.030.030.050.12-0.14-0.14-0.11-0.080.07-0.16-0.03-0.11-0.12-0.02-0.17-0.120.19-0.05-0.07-0.07
CVS0.140.051.000.250.190.160.120.200.310.110.200.050.090.090.10-0.020.220.080.260.05-0.020.050.19-0.01-0.070.200.050.080.270.100.220.180.020.02-0.070.250.30-0.030.220.070.200.060.060.070.330.200.160.16
PFE0.060.130.251.000.150.150.130.160.360.150.160.120.080.080.18-0.020.320.180.360.050.030.160.23-0.09-0.010.190.060.100.300.060.170.26-0.000.00-0.020.170.270.050.230.060.110.060.040.140.310.130.190.19
JNPR0.03-0.030.190.151.000.070.100.080.210.070.040.130.060.060.220.060.160.110.150.130.160.140.200.110.210.110.150.130.220.130.150.200.150.150.160.150.210.230.210.150.240.140.140.170.210.210.250.25
HES0.080.040.160.150.071.000.640.410.120.110.26-0.020.080.090.130.040.180.080.230.060.030.060.160.040.050.220.140.110.260.090.200.130.100.100.050.250.280.040.250.110.140.170.120.180.340.250.220.21
SHEL0.11-0.060.120.130.100.641.000.410.100.030.210.010.070.070.110.060.180.020.180.060.100.050.170.110.210.190.090.130.200.130.150.070.150.150.110.200.190.040.270.160.200.190.190.200.270.260.230.23
LNG0.030.020.200.160.080.410.411.000.130.100.290.050.120.120.060.130.180.050.150.150.230.090.120.130.140.160.090.230.230.200.250.190.100.110.040.270.260.000.200.100.180.290.180.310.310.260.220.22
MDT0.080.130.310.360.210.120.100.131.000.230.310.080.120.120.130.070.320.220.33-0.010.090.100.28-0.02-0.030.290.170.140.320.340.210.290.070.060.030.250.330.070.210.170.190.070.090.170.410.220.280.28
WMT0.010.180.110.150.070.110.030.100.231.000.190.230.170.170.200.170.280.260.200.160.190.160.240.070.070.300.110.160.210.330.150.290.130.140.240.120.190.220.230.110.180.210.200.180.290.230.320.32
RTX0.050.180.200.160.040.260.210.290.310.191.000.130.100.100.060.100.270.230.250.030.140.080.270.000.030.310.130.260.320.330.270.270.070.06-0.010.230.330.020.260.160.220.240.190.280.460.320.250.25
LLY-0.000.060.050.120.13-0.020.010.050.080.230.131.000.090.100.190.310.150.200.100.170.290.180.260.320.320.140.200.210.130.360.110.210.160.150.360.160.110.250.210.300.290.290.370.250.240.230.400.40
FBTC0.120.010.090.080.060.080.070.120.120.170.100.091.001.000.110.240.080.170.240.380.190.160.170.270.230.170.240.310.130.210.270.100.250.260.220.310.270.230.260.260.300.370.330.360.300.330.360.36
IBIT0.120.010.090.080.060.090.070.120.120.170.100.101.001.000.110.240.080.170.240.380.190.160.170.270.230.170.240.310.130.210.280.100.260.260.220.310.270.240.260.270.300.380.330.360.300.330.360.36
AAPL0.15-0.100.100.180.220.130.110.060.130.200.060.190.110.111.000.220.260.200.270.320.250.350.190.250.250.230.280.170.200.190.140.330.430.430.290.130.230.450.250.360.280.170.260.240.250.280.540.54
SPOT0.12-0.11-0.02-0.020.060.040.060.130.070.170.100.310.240.240.221.000.100.270.130.350.380.310.160.420.340.150.320.290.130.330.140.170.370.370.470.160.090.430.240.360.320.430.380.420.160.330.430.43
IFF0.130.080.220.320.160.180.180.180.320.280.270.150.080.080.260.101.000.250.410.130.110.200.300.110.160.330.230.190.460.190.230.370.160.160.170.220.400.160.370.300.320.250.270.280.440.350.410.41
ACN0.070.070.080.180.110.080.020.050.220.260.230.200.170.170.200.270.251.000.210.220.390.470.280.240.220.360.430.190.280.300.200.350.260.260.270.240.210.330.310.370.210.280.270.310.350.340.460.46
FAF0.200.140.260.360.150.230.180.150.330.200.250.100.240.240.270.130.410.211.000.180.160.190.48-0.020.020.370.140.280.430.140.410.380.100.100.090.340.480.130.400.190.400.300.240.380.570.410.350.36
TTD0.09-0.150.050.050.130.060.060.15-0.010.160.030.170.380.380.320.350.130.220.181.000.340.350.200.380.360.170.370.290.110.230.180.260.410.410.440.170.250.440.300.410.360.360.400.420.260.350.500.50
FTNT0.10-0.05-0.020.030.160.030.100.230.090.190.140.290.190.190.250.380.110.390.160.341.000.410.160.380.310.240.390.280.190.340.270.360.340.330.350.280.190.390.260.380.310.380.400.410.320.360.490.48
WDAY0.02-0.030.050.160.140.060.050.090.100.160.080.180.160.160.350.310.200.470.190.350.411.000.270.280.290.300.490.140.200.260.200.390.380.380.310.230.220.520.370.480.370.310.310.330.330.350.480.48
ICE0.050.240.190.230.200.160.170.120.280.240.270.260.170.170.190.160.300.280.480.200.160.271.000.110.110.440.210.310.310.320.290.400.190.190.230.270.370.250.370.260.320.330.300.400.550.390.420.42
NVDA0.01-0.19-0.01-0.090.110.040.110.13-0.020.070.000.320.270.270.250.420.110.24-0.020.380.380.280.111.000.680.100.390.390.130.270.130.130.390.390.480.240.090.540.260.500.370.410.570.440.150.380.660.65
TSM0.00-0.19-0.07-0.010.210.050.210.14-0.030.070.030.320.230.230.250.340.160.220.020.360.310.290.110.681.000.080.340.410.160.260.140.150.350.350.500.240.120.500.320.540.400.430.590.460.180.440.610.60
V0.100.170.200.190.110.220.190.160.290.300.310.140.170.170.230.150.330.360.370.170.240.300.440.100.081.000.330.210.320.380.300.390.220.220.220.290.340.240.380.290.330.380.280.370.620.390.440.45
ADBE0.08-0.050.050.060.150.140.090.090.170.110.130.200.240.240.280.320.230.430.140.370.390.490.210.390.340.331.000.180.210.300.160.350.410.400.360.230.240.490.330.480.320.320.350.320.310.350.530.53
DY0.06-0.020.080.100.130.110.130.230.140.160.260.210.310.310.170.290.190.190.280.290.280.140.310.390.410.210.181.000.300.370.310.320.220.230.290.310.260.270.380.310.400.450.530.520.390.520.470.47
MMM0.140.030.270.300.220.260.200.230.320.210.320.130.130.130.200.130.460.280.430.110.190.200.310.130.160.320.210.301.000.260.400.360.220.220.200.340.410.230.390.220.400.330.320.410.520.490.430.44
BSX0.040.030.100.060.130.090.130.200.340.330.330.360.210.210.190.330.190.300.140.230.340.260.320.270.260.380.300.370.261.000.180.390.300.300.360.220.200.350.230.400.330.410.400.440.380.410.480.47
WFC0.120.050.220.170.150.200.150.250.210.150.270.110.270.280.140.140.230.200.410.180.270.200.290.130.140.300.160.310.400.181.000.250.180.180.200.680.710.190.270.220.450.500.360.490.760.490.400.40
MSCI0.150.120.180.260.200.130.070.190.290.290.270.210.100.100.330.170.370.350.380.260.360.390.400.130.150.390.350.320.360.390.251.000.260.260.190.240.330.360.330.370.310.310.280.380.490.430.470.47
GOOGL0.17-0.140.02-0.000.150.100.150.100.070.130.070.160.250.260.430.370.160.260.100.410.340.380.190.390.350.220.410.220.220.300.180.261.001.000.530.240.200.620.170.420.340.400.370.390.240.330.600.60
GOOG0.17-0.140.020.000.150.100.150.110.060.140.060.150.260.260.430.370.160.260.100.410.330.380.190.390.350.220.400.230.220.300.180.261.001.000.520.240.210.610.180.420.340.410.380.390.240.330.600.60
META0.15-0.11-0.07-0.020.160.050.110.040.030.24-0.010.360.220.220.290.470.170.270.090.440.350.310.230.480.500.220.360.290.200.360.200.190.530.521.000.230.130.600.280.450.410.450.490.470.230.380.600.59
DFS0.13-0.080.250.170.150.250.200.270.250.120.230.160.310.310.130.160.220.240.340.170.280.230.270.240.240.290.230.310.340.220.680.240.240.240.231.000.610.250.340.320.450.500.410.510.660.510.460.46
PNC0.130.070.300.270.210.280.190.260.330.190.330.110.270.270.230.090.400.210.480.250.190.220.370.090.120.340.240.260.410.200.710.330.200.210.130.611.000.190.360.230.450.450.330.460.770.500.450.45
MSFT0.08-0.16-0.030.050.230.040.040.000.070.220.020.250.230.240.450.430.160.330.130.440.390.520.250.540.500.240.490.270.230.350.190.360.620.610.600.250.191.000.330.530.420.410.540.470.280.420.730.73
FERG0.03-0.030.220.230.210.250.270.200.210.230.260.210.260.260.250.240.370.310.400.300.260.370.370.260.320.380.330.380.390.230.270.330.170.180.280.340.360.331.000.450.600.460.550.520.480.600.560.56
ANSS0.10-0.110.070.060.150.110.160.100.170.110.160.300.260.270.360.360.300.370.190.410.380.480.260.500.540.290.480.310.220.400.220.370.420.420.450.320.230.530.451.000.450.420.560.520.370.530.680.68
CRH0.12-0.120.200.110.240.140.200.180.190.180.220.290.300.300.280.320.320.210.400.360.310.370.320.370.400.330.320.400.400.330.450.310.340.340.410.450.450.420.600.451.000.580.620.590.530.610.610.61
APO0.03-0.020.060.060.140.170.190.290.070.210.240.290.370.380.170.430.250.280.300.360.380.310.330.410.430.380.320.450.330.410.500.310.400.410.450.500.450.410.460.420.581.000.630.780.590.620.590.59
ETN0.04-0.170.060.040.140.120.190.180.090.200.190.370.330.330.260.380.270.270.240.400.400.310.300.570.590.280.350.530.320.400.360.280.370.380.490.410.330.540.550.560.620.631.000.650.450.700.710.71
KKR0.11-0.120.070.140.170.180.200.310.170.180.280.250.360.360.240.420.280.310.380.420.410.330.400.440.460.370.320.520.410.440.490.380.390.390.470.510.460.470.520.520.590.780.651.000.610.710.680.69
XLF0.130.190.330.310.210.340.270.310.410.290.460.240.300.300.250.160.440.350.570.260.320.330.550.150.180.620.310.390.520.380.760.490.240.240.230.660.770.280.480.370.530.590.450.611.000.640.600.60
PH0.13-0.050.200.130.210.250.260.260.220.230.320.230.330.330.280.330.350.340.410.350.360.350.390.380.440.390.350.520.490.410.490.430.330.330.380.510.500.420.600.530.610.620.700.710.641.000.700.70
IVV0.14-0.070.160.190.250.220.230.220.280.320.250.400.360.360.540.430.410.460.350.500.490.480.420.660.610.440.530.470.430.480.400.470.600.600.600.460.450.730.560.680.610.590.710.680.600.701.001.00
SPY0.14-0.070.160.190.250.210.230.220.280.320.250.400.360.360.540.430.410.460.360.500.480.480.420.650.600.450.530.470.440.470.400.470.600.600.590.460.450.730.560.680.610.590.710.690.600.701.001.00
Результаты корреляции рассчитаны на основе ежедневных изменений цен, начиная с 12 янв. 2024 г.
PortfoliosLab logo
Анализ доходности
Анализ портфеляДоходность портфеляСравнение акцийКоэффициент ШарпаКоэффициент МартинаКоэффициент ТрейнораКоэффициент СортиноКоэффициент ОмегаКоэффициент КальмараКоэффициент Саммерса
Сообщество
Обсуждения


Дисклеймер

Информация представленная на данном сайте не является инвестиционным советом или рекомендацией и выкладывается исключительно в образовательных целях. Все расчеты производятся без учета комиссий, налогов и иных издержек связанных с держанием, покупкой или продажей ценных бумаг.

Copyright © 2025 PortfoliosLab