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Investment thesis

Benchmarks — economic intuition. Passive buy-and-hold references (SPY, QQQ, FTWD). Included for side-by-side comparison so every active strategy can be evaluated against the investable beta it seeks to outperform.

Risk-adjusted performance — live track record

Forward-tested daily against live market data. Metrics derived from end-of-day portfolio marks; methodology documented on the Due Diligence and About pages.

ReturnValueRisk-adjustedValue
Current portfolio worth$10851.96Sharpe ratio2.28
Total return8.52%Sortino ratio3.07
CAGR21.87%Calmar ratio4.10
Volatility (annualised)11.47%Profit factor1.62
Days live82Maximum drawdown-5.33%

Process consistency

Positive months80.0%
Best month5.99%
Worst month-3.71%
Recovery from max drawdown27 days

Market independence

Correlation and beta versus passive benchmarks, computed over the full live series.

BenchmarkCorrelation90-day rolling correlationBeta
S&P 500 (SPY)0.650.000.80
Bitcoin (BTC-USD)0.450.000.16

A correlation materially below 1.0 to both benchmarks indicates the strategy’s returns are not a simple re-expression of long equity or long crypto beta.

Equity curve

Live track record — forward-tested performance from the strategy's production start date.

Benchmark_FTWD live equity curve

Drawdown profile

Underwater curve — percentage below the running high-water mark. Institutional allocators read this before the equity curve.

Benchmark_FTWD drawdown profile

Current holdings

SymbolQuantity
FTWD.DE1451.3788
USD0.0000

Research & documentation

🛡️ Skin in the game: Our principals and founders deploy their own capital alongside our clients using these exact quantitative models. We are aligned with your downside.

Other strategies in the Benchmarks family:


For professional investors

Request the investor deck, DDQ, and extended analytics. Firm-gated and reviewed manually.

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