The Argie Bond Quant Portfolio has generated strong returns since its inception in December 2011, with a return of 44.56% and annualized return of 39.68%. In 2012 the portfolio returned 37.29% and has gained 2.24% year-to-date and month-to-date. The portfolio exhibits low volatility of 10.26% and has outperformed its benchmark index with an annualized alpha of 11.41% and daily alpha of 4 basis points.
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1. Argie Bond Quant Portfolio track record
1/
ABQ Portfolio
Return
Since inception 12/07/2011 44,56%
Annualized 39,68%
Year 2012 37,29%
Year to date 2,24%
Month to date 2,24%
Week to date -0,59%
Last day 01/14/2013 0,00%
Best day 3,73%
Worst day -3,23%
Daily Alpha against IAMC Bond Index 4 pb
Annualized Alpha 11,41%
Risk
Annualized volatility 10,26%
Beta against IAMC Bond Index 0,69
Correlation against IAMC Bond Index 0,71
Maximum drawdown -5,21%
1/ Suject to minor changes
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2. Argie Bond Quant Portfolio track record
Daily data Inception date 12/07/2011 =1
1,50
1,40
1,30
1,20
1,10
1,00
0,90
D J F M A M J J A S O N D J
2011
2012 2013
Maximum drawdown Recovery ABQ Portfolio