Get the composition of our in-house portfolios

Portfolio Ref: EQ5015LS2W
Performance in the last:
1D 0.0 %
1W 0.8 %
2W -0.9 %
1M 0.3 %
3M 0.1 %
6M -3.1 %
9M 1.2 %
1Y 7.4 %
Alpha
4.2%
Beta
0.14
sharpe-R
0.66
Benchmark
SP500 (SPDR S&P 500 ETF Trust)
sharpe-R Benchmark
1.8
The portfolio metrics Alpha, Beta and Sharpe Ratio are computed using a risk free rate of 0%.
Other Information
Calculation Frequency Daily
Latest Valuation Time 2025-02-18 07:01:51
Launch Date 2023-01-01 00:00:00
First Valuation Date 2021-01-01 00:00:00
Max. DrawDown -8.38%
Max. DrawDown Benchmark -8.41%

This Long-Short strategy aims to find promising assets to invest in for a maximum holding period of 2 Weeks in the Equity asset class. This portfolio focuses only on companies in the Communication Services sector. The maximum number of assets that can be allocated in this strategy is 15.

The assets selection in this portfolio is based on: Macro-Pattern Mix St..
Please note that all model portfolios assume that the entry price for each trade is the previous close price.

For Long-Short model portfolios, the short-selling costs (asset borrowing costs) are not taken into account. This assumption is likely unrealistic, and it is important to understand the short-selling process before employing this type of strategy.

Portfolio Performance against the market Benchmark

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Risk Level
3
Difficulty Level
4

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Follow the portfolio and you will get notified for every change in the composition of the portfolio

Current Portfolio Composition

Asset Asset Class Action Weight PnL
RBBN Ribbon Communications Inc. Equity Buy 14.08% 22.14%
CMCSA Comcast Corporation Equity Buy 12.02% 4.27%
LPTV Loop Media, Inc. Equity Buy 10.29% -10.91%
CHTR Charter Communications, Inc. Equity Buy 10.53% -0.14%
IAC IAC/InterActiveCorp Equity Buy 10.33% -1.98%
SBGI Sinclair Broadcast Group, Inc. Equity Buy 10.54% 0%
DIS The Walt Disney Company Equity Sell -6.05% -1.01%
The percentage of cash held in the portfolio is: 38.25%
** The description of each asset is available Here

The latest 5 Compositions change

2025-02-18 00:00:00 : Portfolio change date
Asset Action Weight PnL
RBBN Ribbon Communications Inc. Buy 14.08% 22.14%
CMCSA Comcast Corporation Buy 12.02% 4.27%
LPTV Loop Media, Inc. Buy 10.29% -10.91%
CHTR Charter Communications, Inc. Buy 10.53% -0.14%
IAC IAC/InterActiveCorp Buy 10.33% -1.98%
SBGI Sinclair Broadcast Group, Inc. Buy 10.54% 0%
DIS The Walt Disney Company Sell -6.05% -1.01%
The percentage of cash held in the portfolio is: 38.25%
New Assets Added
None
Assets Removed
Asset Action Perf %
QNST Buy All NA
Assets Rebalanced
None
2025-02-17 00:00:00 : Portfolio change date
Asset Action Weight PnL
RBBN Ribbon Communications Inc. Buy 14.08% 22.14%
CMCSA Comcast Corporation Buy 12.02% 4.27%
LPTV Loop Media, Inc. Buy 10.29% -10.91%
CHTR Charter Communications, Inc. Buy 10.53% -0.14%
IAC IAC/InterActiveCorp Buy 10.33% -1.98%
SBGI Sinclair Broadcast Group, Inc. Buy 10.54% 0%
QNST QuinStreet, Inc. Sell -5.91% 4.51%
DIS The Walt Disney Company Sell -6.05% -1.01%
The percentage of cash held in the portfolio is: 44.17%
New Assets Added
  • SBGI
Assets Removed
None
Assets Rebalanced
None
2025-02-14 00:00:00 : Portfolio change date
Asset Action Weight PnL
RBBN Ribbon Communications Inc. Buy 13.73% 19.05%
CMCSA Comcast Corporation Buy 12.02% 4.24%
LPTV Loop Media, Inc. Buy 10.5% -9.09%
CHTR Charter Communications, Inc. Buy 10.54% 0%
IAC IAC/InterActiveCorp Buy 10.54% 0%
QNST QuinStreet, Inc. Sell -6.03% 2.66%
DIS The Walt Disney Company Sell -6.01% -0.28%
The percentage of cash held in the portfolio is: 54.71%
New Assets Added
  • CHTR
  • IAC
Assets Removed
Asset Action Perf %
MGNI Sell All -7.94%
Assets Rebalanced
None
2025-02-11 00:00:00 : Portfolio change date
Asset Action Weight PnL
RBBN Ribbon Communications Inc. Buy 11.73% 1.67%
CMCSA Comcast Corporation Buy 11.71% 1.56%
LPTV Loop Media, Inc. Buy 12.19% 5.45%
MGNI Magnite, Inc. Buy 10.5% -2.6%
QNST QuinStreet, Inc. Sell -6.02% 2.78%
DIS The Walt Disney Company Sell -5.99% 0%
The percentage of cash held in the portfolio is: 65.89%
New Assets Added
  • DIS
Assets Removed
Asset Action Perf %
ATNI Buy All -8.02%
Assets Rebalanced
None
2025-02-10 00:00:00 : Portfolio change date
Asset Action Weight PnL
RBBN Ribbon Communications Inc. Buy 11.31% -2.62%
CMCSA Comcast Corporation Buy 11.77% 1.27%
LPTV Loop Media, Inc. Buy 11.64% 0%
MGNI Magnite, Inc. Buy 10.85% 0%
ATNI ATN International, Inc. Sell -6.35% -1.09%
QNST QuinStreet, Inc. Sell -6.34% -1.64%
The percentage of cash held in the portfolio is: 67.12%
New Assets Added
  • MGNI
Assets Removed
Asset Action Perf %
DJCO Buy All 10.58%
Assets Rebalanced
None
2025-02-07 00:00:00 : Portfolio change date
Asset Action Weight PnL
RBBN Ribbon Communications Inc. Buy 11.6% -0.24%
CMCSA Comcast Corporation Buy 11.81% 1.56%
LPTV Loop Media, Inc. Buy 11.65% 0%
DJCO Daily Journal Corporation Sell -5.64% 8.42%
ATNI ATN International, Inc. Sell -6.37% -1.22%
QNST QuinStreet, Inc. Sell -6.63% -6.16%
The percentage of cash held in the portfolio is: 83.57%
New Assets Added
  • LPTV
Assets Removed
Asset Action Perf %
MGNI Sell All 10.25%
Assets Rebalanced
None

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