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When it comes to making buy-and-sell decisions informed by style factors, investors have roughly two strategic options. The first one is for fervid supporters of a certain style. It is to stick with their factor of choice both

Portfolio DYNF IVV OMFL USMF DEUS FCTR
Initial Balance $10,000 $10,000 $10,000 $10,000 $10,000 $10,000
Final Balance $17,968 $18,507 $18,688 $15,975 $15,788 $13,880
CAGR 12.89% 13.58% 13.81% 10.18% 9.91% 7.02%
Stdev 18.61% 18.57% 20.52% 17.45% 19.70% 22.05%
Best Year 36.26% 28.76% 28.96% 21.24% 25.56% 30.15%
Worst Year -20.27% -18.16% -13.97% -8.83% -11.19% -20.41%
Max. Drawdown -25.91% -23.93% -22.11% -22.89% -27.31% -34.67%
Sharpe Ratio 0.64 0.68 0.64 0.53 0.48 0.33
Sortino Ratio 0.99 1.05 1.1 0.81 0.72 0.51
Market Correlation 0.99 1 0.92 0.95 0.96 0.91

Metric IVV OMFL USMF DYNF FCTR DEUS
Upside Capture Ratio (%) 100.43 96.83 78.42 97.21 88.35 89.38
Downside Capture Ratio (%) 97.12 91.9 82.56 95.83 107.46 97.59

Metric Holdings as of February 8
EY 4.03%
EY Fwd 3.38%
P/S 9.43
EPS Fwd 13.24%
Revenue Fwd 10.54%
ROE 108.7%
ROA 15.14%

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