Updated Jun 2, 2026

Selected portfolio

Top 30 · Weekly · Equal

Rank #36

Risk

Conservative

Stocks included

Top 30

Rebalance

Weekly

Weighting

Equal weight

Key metrics

Since Feb 17, 2026

  • Portfolio value

    $11,866 (+18.7%)
  • Performance vs S&P 500

    +7.5%
  • Sharpe ratio

    3.29
  • CAGR

    +81.3%
  • Max drawdown

    -10.1%

What you are looking at

Starting capital: $10,000 simulated. Disclaimer

#StockValueCost basis

Returns

Risk

Consistency

Want the methodology notes?

See the full methodology, portfolio-ranking rules, and scientific grounding.

Not investment advice. Past performance does not guarantee future results. Full disclaimer