Financial Services Returns

About this portfolio

Description

Financial Services holds up to 4 names from financial services above $200M. Selection follows the model's composite positive score.

Strategy

Equal capital goes into every recommendation. Recommendations are published a few hours before the open and placed as market orders, so buys and sells fill at the opening price. Positions are held for 6 to 14 days. Every position carries a 20% stop-loss: if the price touches it during the day, the position is sold there, at 80% of its entry price. Reported returns are measured from those opening prices and include every stop-loss exit.

Started with
$100,000
Jun 25, 2025
Worth now
$291,620
Sep 25, 2026
Last day↑ +0.66%
Last week↓ −1.57%
Last month↓ −3.43%
Last year↑ +58.19%
Overall↑ +191.62%

Portfolio Value Over Time

Max drawdown
−10.93%
From high
−3.95%
Under water
47 sessions
Volatility
25.05%
Sharpe
3.73

Return Distributions

How often each size of move has happened, measured between the closes of each session, week and month. Each bar is labelled with the middle of its range: the white bar holds moves nearest to flat, losses sit to its left and gains to its right.

ForecastQ

Quantitative stocks signals powered by AI


The information provided is for educational purposes only and should not be considered financial advice. Past performance is not indicative of future results. ForecastQ is a research platform, a living documentation of an engineering experiment. We are not financial advisors.


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