Exposure & Analytics
1 sector exceeds the 15% concentration limit
Top-3 Sector
58.5%
of portfolio MV
Top-5 Names
25.7%
of 82 unique tickers
HHI (all deployed MV)
243.3
diversified
Sector Limit (15%)
1
breach
Sector Allocation
Country Allocation
Sectors (GICS 2023-03, click row to drill in)
Total MV: $86,300,100 · 94.1% in the 10 GICS sectors, 5.9% not classified by GICS
| Sector | Pos | Tickers | MV | % | 1-Week |
|---|---|---|---|---|---|
| Information Technology | 32 | 22 | $32,225,826 |
|
▲ 1.0% |
|
Top 5 in Information Technology
NVDA
$4,920,378
15.3% of sector
MSFT
$4,873,792
15.1% of sector
AAPL
$4,107,374
12.7% of sector
AVGO
$2,801,234
8.7% of sector
ASML
$2,228,214
6.9% of sector
|
|||||
| Financials | 10 | 8 | $9,580,613 |
|
▲ 0.8% |
|
Top 5 in Financials
JPM
$2,175,228
22.7% of sector
BRK-B
$2,151,562
22.5% of sector
V
$1,596,309
16.7% of sector
MA
$1,117,318
11.7% of sector
BAC
$728,942
7.6% of sector
|
|||||
| Communication Services | 9 | 6 | $8,706,152 |
|
▲ 1.1% |
|
Top 5 in Communication Services
GOOGL
$4,135,900
47.5% of sector
META
$2,762,617
31.7% of sector
NFLX
$697,000
8.0% of sector
VZ
$371,195
4.3% of sector
T
$370,720
4.3% of sector
|
|||||
| Health Care | 10 | 8 | $6,795,601 |
|
▲ 2.8% |
|
Top 5 in Health Care
LLY
$2,258,568
33.2% of sector
UNH
$1,139,219
16.8% of sector
JNJ
$726,245
10.7% of sector
ABBV
$724,531
10.7% of sector
ISRG
$708,829
10.4% of sector
|
|||||
| Consumer Discretionary | 9 | 7 | $6,219,024 |
|
▲ 2.6% |
|
Top 5 in Consumer Discretionary
AMZN
$4,153,522
66.8% of sector
HD
$702,994
11.3% of sector
TJX
$374,760
6.0% of sector
TM
$371,307
6.0% of sector
MCD
$367,099
5.9% of sector
|
|||||
| Industrials | 8 | 8 | $5,884,675 |
|
▼ 2.6% |
|
Top 5 in Industrials
CAT
$1,139,362
19.4% of sector
GE
$1,138,575
19.3% of sector
DE
$729,126
12.4% of sector
HON
$722,142
12.3% of sector
LMT
$708,892
12.0% of sector
|
|||||
| Energy | 5 | 5 | $4,082,751 |
|
▲ 0.2% |
|
Top 5 in Energy
XOM
$1,566,678
38.4% of sector
CVX
$1,095,501
26.8% of sector
COP
$690,749
16.9% of sector
SLB
$366,414
9.0% of sector
EOG
$363,409
8.9% of sector
|
|||||
| Consumer Staples | 5 | 5 | $3,667,799 |
|
▲ 2.1% |
|
Top 5 in Consumer Staples
COST
$1,121,278
30.6% of sector
WMT
$1,105,395
30.1% of sector
PG
$705,101
19.2% of sector
PEP
$368,715
10.1% of sector
KO
$367,310
10.0% of sector
|
|||||
| Utilities | 4 | 4 | $2,207,513 |
|
▲ 8.4% |
|
Top 4 in Utilities
CEG
$731,000
33.1% of sector
NEE
$716,658
32.5% of sector
VST
$386,790
17.5% of sector
DUK
$373,065
16.9% of sector
|
|||||
| Materials | 3 | 3 | $1,801,628 |
|
▼ 0.1% |
|
Top 3 in Materials
FCX
$720,037
40.0% of sector
LIN
$711,451
39.5% of sector
NEM
$370,140
20.5% of sector
|
|||||
| Outside GICS — instruments GICS does not classify, plus anything we could not classify | |||||
| Broad market index fund | 4 | 3 | $3,672,162 |
|
▲ 0.8% |
|
Top 3 in Broad market index fund
SPY
$2,160,672
58.8% of sector
QQQ
$1,136,595
31.0% of sector
IWM
$374,895
10.2% of sector
|
|||||
| Commodity fund | 2 | 2 | $1,081,072 |
|
▼ 1.1% |
|
Top 2 in Commodity fund
GLD
$710,413
65.7% of sector
IAU
$370,659
34.3% of sector
|
|||||
| Country / region fund | 1 | 1 | $375,284 |
|
▼ 0.8% |
|
Top 1 in Country / region fund
EFA
$375,284
100.0% of sector
|
|||||
Countries
Total MV: $86,300,100
| Country | Pos | Tickers | MV | % |
|---|---|---|---|---|
| United States | 83 | 68 | $73,787,031 |
|
| Unknown | 6 | 5 | $4,753,233 |
|
| Netherlands | 2 | 1 | $2,228,214 |
|
| Taiwan | 2 | 1 | $2,186,286 |
|
| United Kingdom | 1 | 1 | $711,451 |
|
| Germany | 2 | 1 | $667,670 |
|
| Denmark | 2 | 1 | $476,774 |
|
| Developed Markets | 1 | 1 | $375,284 |
|
| Canada | 1 | 1 | $371,907 |
|
| Japan | 1 | 1 | $371,307 |
|
| Ireland | 1 | 1 | $370,944 |
|
GICS Industries
· GICS 2023-03 level
| Industry | Sector | Pos | Tickers | MV | % |
|---|---|---|---|---|---|
|
|
|||||
| No industries match this filter. | |||||
Asset Class
Total MV: $86,300,100
| Class | Pos | Tickers | MV | % |
|---|---|---|---|---|
| Common Stock | 100 | 80 | $85,219,028 |
|
| Alternative Investments (PE, RE and HF) | 2 | 2 | $1,081,072 |
|
Regions (country rollup)
Total MV: $86,300,100
| Region | Pos | Tickers | MV | % |
|---|---|---|---|---|
| North America | 84 | 69 | $74,158,938 |
|
| Other | 6 | 5 | $4,753,233 |
|
| EMEA | 8 | 5 | $4,455,052 |
|
| APAC | 3 | 2 | $2,557,593 |
|
| Global | 1 | 1 | $375,284 |
|
Sector × Country
Cell shading = % of sector MV. Top 9 country columns; smaller geographies collapsed into Other.
| Sector | United States | Unknown | Netherlands | Taiwan | United Kingdom | Germany | Denmark | Developed Markets | Other | Total |
|---|---|---|---|---|---|---|---|---|---|---|
| Information Technology | $26,771,749 | · | $2,228,214 | $2,186,286 | · | $667,670 | · | · | $371,907 | $32,225,826 |
| Financials | $9,580,613 | · | · | · | · | · | · | · | · | $9,580,613 |
| Communication Services | $8,706,152 | · | · | · | · | · | · | · | · | $8,706,152 |
| Health Care | $6,318,827 | · | · | · | · | · | $476,774 | · | · | $6,795,601 |
| Consumer Discretionary | $5,847,717 | · | · | · | · | · | · | · | $371,307 | $6,219,024 |
| Industrials | $5,513,731 | · | · | · | · | · | · | · | $370,944 | $5,884,675 |
| Energy | $4,082,751 | · | · | · | · | · | · | · | · | $4,082,751 |
| Broad market index fund | · | $3,672,162 | · | · | · | · | · | · | · | $3,672,162 |
| Consumer Staples | $3,667,799 | · | · | · | · | · | · | · | · | $3,667,799 |
| Utilities | $2,207,513 | · | · | · | · | · | · | · | · | $2,207,513 |
| Materials | $1,090,178 | · | · | · | $711,451 | · | · | · | · | $1,801,628 |
| Commodity fund | · | $1,081,072 | · | · | · | · | · | · | · | $1,081,072 |
| Country / region fund | · | · | · | · | · | · | · | $375,284 | · | $375,284 |
Computing analytics...
Portfolio Risk & Return Summary
Sector Allocation
Sector Performance
| Sector | Weight | Pos | Avg Ret ⓘ | P&L | Beta | Best | Worst |
|---|---|---|---|---|---|---|---|
Top 20 Positions
Top 5:
Top 10:
Top 20:
Cumulative Concentration Curve
Correlation Matrix (Top 20 Positions)
High +
Zero
High -
Most Correlated Pairs
Least Correlated Pairs
Risk Decomposition
| Group | Pos | MV | Weight | Avg Ret ⓘ | P&L | P&L Contr ⓘ |
|---|---|---|---|---|---|---|
Sector P&L Attribution
Top 10 Winners (Unrealized)
| Ticker | P&L | Return | Conv |
|---|---|---|---|
Top 10 Losers (Unrealized)
| Ticker | P&L | Return | Conv |
|---|---|---|---|
Conviction vs Return
Stage Breakdown
·
Reward / Risk Distribution
Distance to Stop Loss
Rolling 30-Day Volatility (Annualized)
Position Volatility (Top 30)
Avg:
| Ticker | MV | Weight | Vol (Ann.) |
|---|---|---|---|
|
|
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