Annual Compound Return | |||
Cumulative Return | |||
Profitable Percentage | |||
Annualized Volatility | |||
Sharpe Ratio (RFR) | 0.69 | 0.63 | |
Sortino Ratio (RFR) | |||
Downside Deviation |
Top 5 Long Positions | % of NAV |
---|---|
First Citizens Bancshares | 10.60% |
Robinhood Markets Inc. | 10.01% |
SLM Corp. | 6.05% |
UMB Financial Corp. | 6.04% |
Jackson Financial Inc. | 5.93% |