Public portfolios ranked by sortino ratio · 3Y · S&P 500 +70.80%
Return per unit of downside volatility (annualised)
Rankings are public. Sign in to open a portfolio or an investor’s profile and see what is behind a number.
1.56
+101.00% return
1.52
+72.14% return
1.03
+74.40% return
0.92
+48.59% return
0.78
+44.86% return
0.23
+6.56% return
6 track records (3Y) · minimum 3 trades or calls to qualify