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Total Value
 
Total P&L
 
Day Change
 
Positions
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Sharpe Ratio
 
Beta vs SPY
 
Max Drawdown
 
Volatility (Ann.)
 
Best Position
 
Worst Position
 
Ticker Company Shares Avg Cost Price Day Chg % Mkt Value P&L P&L % Weight

Equity Curve

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Correlation Matrix (Top 8 Holdings)

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Monte Carlo Simulation (12-Month Forward)

Click "Run Monte Carlo" to simulate 1,000 possible portfolio outcomes over 12 months.

Sector Exposure

Top Holdings

Strategy Lab
Grade your portfolio against three very different investing philosophies.
Blue = actual allocation · Gold = ideal

✦ Portfolio Analyst

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