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 # Bloworgo Portfolio       Currency:EURTop 25: 121
Visit Bloworgo
Look
Start:08/29/2012 Day Return:
0.10%
Day Rank:78
Days: 3150 Month Return:
10.20%
Month Rank:58
Last:2020-01-21 Year Return:
0.00%
Year Rank:60
Visits:1945 All Time Return:
60.22%
All Time Rank:480


 JanFebMarAprMayJunJulAugSepOctNovDec Year S&P500
2012
    
    
    
    
    
    
    
0.08%
0.26%
-0.27%
-1.08%
2.36%
1.32%
1.11%
2013
-1.36%
0.67%
2.42%
0.17%
2.36%
-0.92%
0.12%
-0.76%
-0.18%
2.31%
1.32%
-0.59%
5.60%
29.60%
2014
-1.79%
0.25%
0.02%
0.30%
0.94%
4.20%
1.22%
7.17%
3.40%
-1.70%
2.54%
-1.45%
15.76%
11.39%
2015
5.83%
9.20%
4.80%
-6.10%
5.96%
1.18%
-1.75%
-7.58%
-2.21%
5.76%
-3.93%
-4.73%
4.78%
-0.73%
2016
-3.99%
5.14%
-0.63%
-1.80%
0.08%
1.67%
0.34%
-0.33%
0.19%
-1.94%
10.47%
0.03%
8.82%
9.54%
2017
-2.48%
2.64%
-2.15%
-0.29%
-1.18%
0.03%
-1.86%
-2.84%
3.32%
1.99%
1.42%
0.19%
-1.44%
15.21%
2018
-1.86%
-0.34%
-5.11%
3.14%
3.39%
4.09%
-1.25%
1.99%
0.87%
1.53%
2.31%
-6.36%
1.81%
-2.81%
2019
2.65%
-2.18%
0.21%
2.99%
-1.88%
0.80%
6.35%
-1.36%
1.13%
-0.91%
2.39%
-0.22%
10.09%
28.87%
2020
-2.09%
-3.53%
-10.30%
5.42%
0.28%
-3.11%
-0.39%
1.92%
0.40%
2.70%
2.38%
-0.01%
-7.00%
16.27%
2021
-0.23%
8.99%
1.30%
0.27%
    
    
    
    
    
    
    
    
10.44%
9.90%

 # Stocks & Cash
Date  Amount      Ticker       % Day   Buy   Last Quote  Value % Return Weight
06/12/2014136AET Aetna Inc0.33%$81.06$212.30$28,873161.90%15.15%
06/12/2014100CI CIGNA Corp-1.40%$90.96$245.82$24,582170.24%12.90%
06/12/2014500GME GameStop Corp0.00%$36.45$7.10$3,550-80.52%1.86%
06/12/2014472KO Coca-Cola Co-The0.37%$40.54$52.56$24,80829.63%13.02%
08/31/2012200M Macy`s Inc1.82%$40.61$6.99$1,398-82.79%0.73%
06/12/2014300MET MetLife Inc0.62%$54.51$61.92$18,57613.58%9.75%
06/12/2014500T AT&T Inc0.19%$34.75$30.46$15,230-12.34%7.99%
06/12/2014500TWTR Twitter, Inc.-0.52%$36.74$63.90$31,95073.93%16.77%
06/12/201434,944Cash   0.00%1.001.0034,9440.00%21.81%
EUR/USD: 1.18911    GBP/EUR: 1.1400 Portfolio Value: $190,519 160,220 100%

 # PerformanceBloworgoS&P500
Return:
60.22%
192.66%
Annualized Return:5.45%12.86%
Std (Volatility):13.1116.68
Sharpe:0.110.53
Beta:0.411.00
Jensen Alpha:-0.220.00
Drawdown:24.8933.92