Developed World ex-US 60/40 Momentum vs Merrill Lynch Edge Select Moderately Conservative Portfolio Comparison

Last Update: 31 March 2024

The Developed World ex-US 60/40 Momentum Portfolio obtained a 4.49% compound annual return, with a 8.96% standard deviation, in the last 10 Years.

The Merrill Lynch Edge Select Moderately Conservative Portfolio obtained a 5.10% compound annual return, with a 7.48% standard deviation, in the last 10 Years.

Summary

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Developed World ex-US 60/40 Momentum Portfolio Merrill Lynch Edge Select Moderately Conservative Portfolio
Portfolio Risk High Medium
Asset Allocation Stocks 60% 37%
Fixed Income 40% 63%
Commodities 0% 0%
10 Years Stats Return +4.49% +5.10%
Std Dev 8.96% 7.48%
Max Drawdown -22.23% -18.53%
All time Stats
(Since Aug 2009)
Return +5.88% +6.27%
Std Dev 9.53% 7.04%
Max Drawdown -22.23% -18.53%
Last Update: 31 March 2024

Historical Returns as of Mar 31, 2024

Comparison period starts from August 2009

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1M 6M 1Y 5Y 10Y MAX
Developed World ex-US 60/40 Momentum Portfolio +3.73 +18.09 +16.56 +5.91 +4.49 +5.88
Merrill Lynch Edge Select Moderately Conservative Portfolio +1.72 +11.69 +11.02 +5.12 +5.10 +6.27
Return over 1 year are annualized.

Capital Growth as of Mar 31, 2024

Developed World ex-US 60/40 Momentum Portfolio: an investment of 1$, since April 2014, now would be worth 1.55$, with a total return of 55.15% (4.49% annualized).

Merrill Lynch Edge Select Moderately Conservative Portfolio: an investment of 1$, since April 2014, now would be worth 1.64$, with a total return of 64.40% (5.10% annualized).

Developed World ex-US 60/40 Momentum Portfolio: an investment of 1$, since August 2009, now would be worth 2.31$, with a total return of 131.06% (5.88% annualized).

Merrill Lynch Edge Select Moderately Conservative Portfolio: an investment of 1$, since August 2009, now would be worth 2.44$, with a total return of 143.99% (6.27% annualized).

Drawdowns

Drawdown comparison chart since April 2014.

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Developed World ex-US 60/40 Momentum Portfolio
Merrill Lynch Edge Select Moderately Conservative Portfolio
Drawdown Start Bottom
Date (#Months)
Recovery
Date (#Months)
Ulcer
Index
Drawdown Start Bottom
Date (#Months)
Recovery
Date (#Months)
Ulcer
Index
-22.23% Nov 2021 Sep 2022 (11) Mar 2024 (29) 11.24
-18.53% Jan 2022 Sep 2022 (9) In progress (27) 10.24
-10.52% Feb 2018 Dec 2018 (11) Jun 2019 (17) 4.70
-10.46% Feb 2020 Mar 2020 (2) Jun 2020 (5) 5.30
-7.78% Feb 2020 Mar 2020 (2) Jun 2020 (5) 3.56
-7.73% May 2015 Sep 2015 (5) Jul 2016 (15) 4.34
-5.21% Aug 2016 Nov 2016 (4) Mar 2017 (8) 2.46
-4.75% Sep 2018 Dec 2018 (4) Feb 2019 (6) 2.52
-4.35% May 2015 Jan 2016 (9) May 2016 (13) 2.47
-4.02% Jul 2014 Dec 2014 (6) Apr 2015 (10) 2.20
-2.69% Sep 2021 Sep 2021 (1) Oct 2021 (2) 1.55
-2.69% Feb 2018 Apr 2018 (3) Aug 2018 (7) 1.76
-2.24% Sep 2021 Sep 2021 (1) Dec 2021 (4) 1.10
-2.13% Oct 2020 Oct 2020 (1) Nov 2020 (2) 1.23
-2.08% Sep 2020 Oct 2020 (2) Nov 2020 (3) 1.22
-1.87% Oct 2016 Nov 2016 (2) Jan 2017 (4) 1.10
-1.82% May 2019 May 2019 (1) Jun 2019 (2) 1.05
-1.64% Sep 2014 Sep 2014 (1) Nov 2014 (3) 0.83
-1.30% Jan 2021 Feb 2021 (2) Apr 2021 (4) 0.83
-0.97% Jun 2021 Jun 2021 (1) Jul 2021 (2) 0.56

Drawdown comparison chart since August 2009.

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Developed World ex-US 60/40 Momentum Portfolio
Merrill Lynch Edge Select Moderately Conservative Portfolio
Drawdown Start Bottom
Date (#Months)
Recovery
Date (#Months)
Ulcer
Index
Drawdown Start Bottom
Date (#Months)
Recovery
Date (#Months)
Ulcer
Index
-22.23% Nov 2021 Sep 2022 (11) Mar 2024 (29) 11.24
-18.53% Jan 2022 Sep 2022 (9) In progress (27) 10.24
-15.10% May 2011 Sep 2011 (5) Nov 2012 (19) 7.35
-10.52% Feb 2018 Dec 2018 (11) Jun 2019 (17) 4.70
-10.46% Feb 2020 Mar 2020 (2) Jun 2020 (5) 5.30
-7.78% Feb 2020 Mar 2020 (2) Jun 2020 (5) 3.56
-7.73% May 2015 Sep 2015 (5) Jul 2016 (15) 4.34
-6.85% Apr 2010 Jun 2010 (3) Sep 2010 (6) 3.74
-5.80% Jun 2011 Sep 2011 (4) Jan 2012 (8) 2.34
-5.64% May 2013 Jun 2013 (2) Sep 2013 (5) 3.77
-5.21% Aug 2016 Nov 2016 (4) Mar 2017 (8) 2.46
-4.75% Sep 2018 Dec 2018 (4) Feb 2019 (6) 2.52
-4.35% May 2015 Jan 2016 (9) May 2016 (13) 2.47
-4.02% Jul 2014 Dec 2014 (6) Apr 2015 (10) 2.20
-3.50% May 2010 Jun 2010 (2) Jul 2010 (3) 2.37
-3.50% Jan 2010 Jan 2010 (1) Mar 2010 (3) 2.25
-3.06% May 2013 Jun 2013 (2) Sep 2013 (5) 1.63
-2.86% May 2012 May 2012 (1) Jul 2012 (3) 1.50
-2.69% Sep 2021 Sep 2021 (1) Oct 2021 (2) 1.55
-2.69% Feb 2018 Apr 2018 (3) Aug 2018 (7) 1.76

Yearly Returns

For each year, the following table provides the return and intra-year drawdown.
The highlighted returns represent the highest values for that specific year.
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Year Return Drawdown Return Drawdown
2024
+8.64%
0.00%
+2.62%
-0.08%
2023
+11.86%
-5.80%
+13.70%
-6.23%
2022
-15.18%
-22.15%
-14.91%
-18.53%
2021
+3.05%
-2.69%
+6.44%
-2.24%
2020
+15.15%
-10.46%
+11.65%
-7.78%
2019
+17.85%
-1.00%
+16.41%
-1.82%
2018
-7.45%
-10.52%
-2.89%
-4.75%
2017
+16.24%
-0.39%
+11.44%
0.00%
2016
+2.13%
-5.21%
+6.14%
-1.87%
2015
-0.48%
-7.73%
-0.48%
-4.33%
2014
-2.02%
-4.02%
+6.29%
-1.64%
2013
+12.99%
-5.64%
+8.82%
-3.06%
2012
+14.58%
-4.84%
+9.99%
-2.86%
2011
-5.18%
-15.10%
+3.41%
-5.80%
2010
+11.89%
-6.85%
+10.48%
-3.50%