Return
Since inception 12/07/2011
Annualized
Year 2012
Year to date
Month to date
Week to date
Last day 09/26/2013
Best day
Worst day
Risk
Annualized volatility
Beta / Correlation against IAMC Bond Index
VaR1% 1 day
Maximum drawdown
Risk-adjusted
Annualized Alpha vs. IAMC Bond Index
Sharpe ratio (Risk free rate 14,92%)
1/ Composite of all accounts under management. Subject to minor changes.
2,42
Argie Bond Quant track record
-3,64%
11,64%
10,66%
0,70 / 0,72
-7,37%
-1,56%
ABQ1/
85,25%
40,77%
36,79%
31,50%
9,23%
3,50%
0,20%
3,05%
Daily data Inception date 12/07/2011 =1
Argie Bond Quant track record
0,90
1,10
1,30
1,50
1,70
1,90
2,10
D
2011
J
2012
F M A M J J A S O N D J
2013
F M A M J J A S
Maximum drawdown Recovery ABQ Portfolio
J F M A M J J A S* O N D Year
2011 2,98% 2,98%
2012 4,49% 3,49% 2,63% 0,68% -1,85% 4,78% 5,24% 1,16% 4,44% -1,42% 2,31% 6,16% 36,79%
2013 6,17% -3,84% 4,93% 6,48% -2,74% -0,43% 6,34% 2,49% 9,23% 31,50%
* as of 09/26/2013
Argie Bond Quant track record

Argie bond quant track record

  • 1.
    Return Since inception 12/07/2011 Annualized Year2012 Year to date Month to date Week to date Last day 09/26/2013 Best day Worst day Risk Annualized volatility Beta / Correlation against IAMC Bond Index VaR1% 1 day Maximum drawdown Risk-adjusted Annualized Alpha vs. IAMC Bond Index Sharpe ratio (Risk free rate 14,92%) 1/ Composite of all accounts under management. Subject to minor changes. 2,42 Argie Bond Quant track record -3,64% 11,64% 10,66% 0,70 / 0,72 -7,37% -1,56% ABQ1/ 85,25% 40,77% 36,79% 31,50% 9,23% 3,50% 0,20% 3,05%
  • 2.
    Daily data Inceptiondate 12/07/2011 =1 Argie Bond Quant track record 0,90 1,10 1,30 1,50 1,70 1,90 2,10 D 2011 J 2012 F M A M J J A S O N D J 2013 F M A M J J A S Maximum drawdown Recovery ABQ Portfolio
  • 3.
    J F MA M J J A S* O N D Year 2011 2,98% 2,98% 2012 4,49% 3,49% 2,63% 0,68% -1,85% 4,78% 5,24% 1,16% 4,44% -1,42% 2,31% 6,16% 36,79% 2013 6,17% -3,84% 4,93% 6,48% -2,74% -0,43% 6,34% 2,49% 9,23% 31,50% * as of 09/26/2013 Argie Bond Quant track record