All Country World 80/20 vs US Stocks Minimum Volatility Portfolio Comparison

Last Update: 31 May 2023

The All Country World 80/20 Portfolio obtained a 6.32% compound annual return, with a 12.69% standard deviation, in the last 30 Years.

The US Stocks Minimum Volatility Portfolio obtained a 9.47% compound annual return, with a 13.67% standard deviation, in the last 30 Years.

Summary

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All Country World 80/20 Portfolio US Stocks Minimum Volatility Portfolio
Risk Very High Very High
Asset Allocation Stocks 80% 100%
Fixed Income 20% 0%
Commodities 0% 0%
30 Years Stats Return +6.32% +9.47%
Std Dev 12.69% 13.67%
Max Drawdown -47.32% -43.27%

Last Update: 31 May 2023

Historical Returns as of May 31, 2023

Comparison period starts from January 1985

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1M 6M 1Y 5Y(*) 10Y(*) 30Y(*) MAX(*)
All Country World 80/20 Portfolio -1.11 +2.37 +0.29 +5.56 +6.85 +6.32 +8.16
US Stocks Minimum Volatility Portfolio -3.22 -4.20 -1.06 +8.29 +10.21 +9.47 +10.95
(*) Returns over 1 year are annualized

Capital Growth as of May 31, 2023

All Country World 80/20 Portfolio: an investment of 1000$, since June 1993, now would be worth 6285.17$, with a total return of 528.52% (6.32% annualized).

US Stocks Minimum Volatility Portfolio: an investment of 1000$, since June 1993, now would be worth 15096.69$, with a total return of 1409.67% (9.47% annualized).

All Country World 80/20 Portfolio: an investment of 1000$, since January 1985, now would be worth 20324.20$, with a total return of 1932.42% (8.16% annualized).

US Stocks Minimum Volatility Portfolio: an investment of 1000$, since January 1985, now would be worth 54169.14$, with a total return of 5316.91% (10.95% annualized).

Drawdowns

Drawdown comparison chart since May 1993.

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All Country World 80/20 Portfolio
US Stocks Minimum Volatility Portfolio
Drawdown Start Bottom Drawdown Start Bottom
-47.32% Nov 2007 Feb 2009
-43.27% Nov 2007 Feb 2009
-36.69% Apr 2000 Sep 2002
-35.36% Sep 2000 Sep 2002
-23.52% Jan 2022 Sep 2022
-19.06% Feb 2020 Mar 2020
-17.97% Jan 2020 Mar 2020
-17.35% Jan 2022 Sep 2022
-16.52% Jul 1998 Aug 1998
-12.27% May 1998 Aug 1998
-11.70% May 2011 Sep 2011
-11.51% Feb 2018 Dec 2018
-10.78% Jun 2015 Feb 2016
-9.14% Jul 1999 Sep 1999
-7.56% Oct 2018 Dec 2018
-7.03% Feb 1994 Mar 1994
-6.57% Aug 1997 Oct 1997
-5.88% Feb 1994 Mar 1994
-5.47% Aug 1997 Aug 1997
-5.27% Aug 2016 Oct 2016

Drawdown comparison chart since January 1985.

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All Country World 80/20 Portfolio
US Stocks Minimum Volatility Portfolio
Drawdown Start Bottom Drawdown Start Bottom
-47.32% Nov 2007 Feb 2009
-43.27% Nov 2007 Feb 2009
-36.69% Apr 2000 Sep 2002
-35.36% Sep 2000 Sep 2002
-30.08% Sep 1987 Nov 1987
-23.52% Jan 2022 Sep 2022
-22.19% Sep 1987 Nov 1987
-19.99% Jan 1990 Sep 1990
-19.06% Feb 2020 Mar 2020
-17.97% Jan 2020 Mar 2020
-17.35% Jan 2022 Sep 2022
-16.52% Jul 1998 Aug 1998
-14.10% Jun 1990 Oct 1990
-12.27% May 1998 Aug 1998
-11.70% May 2011 Sep 2011
-11.51% Feb 2018 Dec 2018
-10.78% Jun 2015 Feb 2016
-9.14% Jul 1999 Sep 1999
-8.39% Sep 1986 Sep 1986
-7.56% Oct 2018 Dec 2018

Yearly Returns

Yearly return comparison. Common historical serie start from January 1985.

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Year All Country World 80/20 Portfolio US Stocks Minimum Volatility Portfolio
2023
+6.47% -0.46%
2022
-17.17% -9.42%
2021
+14.21% +20.84%
2020
+14.55% +5.64%
2019
+23.35% +27.69%
2018
-7.79% +1.36%
2017
+20.43% +18.91%
2016
+7.66% +10.57%
2015
-1.32% +5.45%
2014
+4.31% +16.33%
2013
+17.86% +25.09%
2012
+15.19% +10.82%
2011
-4.38% +12.70%
2010
+12.00% +14.52%
2009
+28.02% +18.18%
2008
-34.37% -25.77%
2007
+8.92% +4.15%
2006
+15.95% +14.77%
2005
+8.00% +6.45%
2004
+11.86% +14.34%
2003
+26.95% +19.79%
2002
-14.55% -15.44%
2001
-11.36% -7.96%
2000
-9.84% +2.67%
1999
+20.74% +7.63%
1998
+17.65% +22.82%
1997
+11.46% +30.20%
1996
+10.54% +14.96%
1995
+17.60% +36.61%
1994
+1.26% +0.13%
1993
+20.51% +11.82%
1992
-3.52% +6.42%
1991
+17.30% +28.86%
1990
-13.44% -2.01%
1989
+14.69% +35.71%
1988
+18.54% +15.74%
1987
+13.56% +3.77%
1986
+37.13% +17.36%
1985
+37.92% +32.55%