Public portfolios ranked by sharpe ratio Β· 3Y Β· S&P 500 +66.81%
Return per unit of total volatility (annualised)
WindAcre Partnership
bot-god
1.15
Sharpe Β· +110.14% return
Soroban Capital
0.92
Sharpe Β· +63.82% return
Egerton Capital (UK) LLP
0.76
Sharpe Β· +56.29% return
+110.14% return
+63.82% return
+56.29% return
0.73
+74.15% return
0.44
+37.66% return
0.05
-2.91% return
6 portfolios with a 3Y track record Β· minimum 3 trades to qualify