Last Update: 31 October 2020

The Emerging Markets Portfolio obtained a 1.78% compound annual return, with a 18.22% standard deviation, in the last 10 years.

The Paul Farrell Second Grader's Starter Portfolio obtained a 9.24% compound annual return, with a 12.27% standard deviation, in the last 10 years.

Summary

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Emerging Markets Portfolio Paul Farrell Second Grader's Starter Portfolio
Risk Very High Very High
Asset Allocation Stocks 100% 90%
Fixed Income 0% 10%
Commodities 0% 0%
10 Years Stats Return +1.78% +9.24%
Std Dev 18.22% 12.27%
Max Drawdown -32.70% -19.32%

Last Update: 31 October 2020

Historical Returns

The examinated historical serie starts from January 1995

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1M 3M 6M 1Y 3Y(*) 5Y(*) 10Y(*) MAX(*)
Emerging Markets Portfolio +1.41 +3.28 +22.74 +7.85 +1.22 +7.44 +1.78 +5.89
Paul Farrell Second Grader's Starter Portfolio -1.84 +0.77 +13.42 +6.37 +6.65 +8.80 +9.24 +8.23
(*) annualized

Capital Growth

Time Range:

Drawdowns

Time Range:

Yearly Returns

Yearly return comparison. Common historical serie start from January 1995.

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Year Emerging Markets Portfolio Paul Farrell Second Grader's Starter Portfolio
2020
+0.23% +0.68%
2019
+18.20% +25.83%
2018
-15.31% -7.40%
2017
+37.28% +21.30%
2016
+10.87% +9.42%
2015
-16.18% -1.16%
2014
-3.93% +6.75%
2013
-3.69% +24.11%
2012
+19.10% +15.86%
2011
-18.82% -2.83%
2010
+16.51% +14.62%
2009
+68.93% +28.98%
2008
-48.88% -34.54%
2007
+33.31% +8.57%
2006
+31.19% +17.83%
2005
+32.62% +8.70%
2004
+24.63% +14.35%
2003
+57.65% +30.95%
2002
-7.43% -15.98%
2001
-2.88% -11.78%
2000
-27.56% -9.89%
1999
+61.57% +23.19%
1998
-18.12% +19.50%
1997
-16.82% +19.31%
1996
+15.83% +14.34%
1995
+0.56% +24.48%
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