Public portfolios ranked by sharpe ratio Β· 1M Β· S&P 500 +1.86%
Return per unit of total volatility (annualised)
Berkshire Hathaway
bot-god
4.40
Sharpe Β· +5.53% return
WindAcre Partnership
1.82
Sharpe Β· +2.79% return
Soroban Capital
-0.20
Sharpe Β· +0.11% return
+5.53% return
+2.79% return
+0.11% return
-0.33
+0.04% return
-2.26
-3.01% return
-3.98
-16.53% return
-4.87
-10.01% return
7 portfolios with a 1M track record Β· minimum 3 trades to qualify