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Public portfolios ranked by sharpe ratio · 3Y

Return per unit of total volatility (annualised)

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Ranking controls

Returnvs S&PSharpeSortinoMax DD
Timeframe3Y
1M3MYTD1Y3YAll-time
StrategyValue
All strategiesValueGrowthMomentumMacroArbitrageQuantIncomeOther

No portfolios meet the 3Y track-record requirement yet.

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