Update on V-20 Portfolio (Week 122)

V-20 Total Return158.06%
NIFTY_500 Return103.14%
Cash6.14%
V-20-CAGR115.12%
Win/Loss %115.71%
Profit Factor3.236
Percent Profitable53.64%
Portfolio Maximum DD-11.68%
Current Drawdown-1.50%
Index Maximum DD-18.48%
Index Current Drawdown-4.04%
No. of stocks18
Changes in Portfolio:
SELL: 0
BUY: 1

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