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  BolsiaCoins 0 Bolsiacoins  $9ZbpVOh1oXHJLA
 # ACGBCN Portfolio       Currency:EURTop 25: 239
Visit ACGBCN
Look
Start:04/30/2017 Day Return:
-0.52%
Day Rank:1159
Days: 2985 Month Return:
-2.56%
Month Rank:1878
Last:2025-03-10 Year Return:
0.00%
Year Rank:1587
Visits:2101 All Time Return:
139.14%
All Time Rank:220


 JanFebMarAprMayJunJulAugSepOctNovDec Year S&P500
2017
    
    
    
0.01%
0.63%
-0.68%
-4.01%
-0.39%
3.03%
6.85%
-1.51%
-0.59%
3.00%
8.19%
2018
3.32%
-4.87%
0.18%
4.89%
1.90%
-0.17%
2.96%
-2.26%
-2.01%
-3.06%
3.11%
-9.23%
-6.01%
-2.81%
2019
9.52%
0.94%
2.74%
3.03%
-4.27%
4.46%
0.23%
-3.93%
4.47%
-0.83%
2.81%
1.89%
22.30%
28.88%
2020
0.70%
-8.09%
-15.85%
8.94%
3.01%
2.18%
2.23%
4.29%
-2.57%
-0.78%
1.90%
1.49%
-4.82%
16.26%
2021
1.57%
-0.81%
2.13%
3.01%
-2.19%
4.53%
3.41%
-0.42%
1.49%
0.45%
3.39%
1.43%
19.30%
27.35%
2022
-6.20%
0.25%
5.03%
-5.87%
-3.21%
0.19%
6.16%
-0.16%
-8.10%
5.99%
2.05%
-6.71%
-11.39%
-20.08%
2023
10.47%
4.31%
1.28%
-0.07%
4.42%
4.69%
2.27%
6.31%
-1.65%
-2.08%
9.69%
1.03%
47.93%
24.54%
2024
3.37%
5.06%
7.11%
-4.31%
2.08%
3.42%
5.46%
-1.19%
4.92%
-1.15%
8.34%
2.70%
41.28%
23.71%
2025
4.13%
-2.66%
-8.67%
-2.21%
8.89%
-1.87%
-0.53%
    
    
    
    
    
-3.78%
5.16%

 # Stocks & Cash
Date  Amount      Ticker       % Day   Buy   Last Quote  Value % Return Weight
06/06/2022140AMZN Amazon.com-0.10%$124.79$219.16$30,68275.62%10.88%
05/23/20182,814BBVA.MC BBVA-1.26%7.11€12.89€36,272€81.38%15.14%
03/10/2025131EIX Edison International2.36%$57.27$52.82$6,919-7.77%2.45%
12/11/2017600ITX.MC Inditex0.20%29.93€44.27€26,562€47.91%11.09%
05/07/201860IVV iShares S&P 500 Index Fund-0.23%$276.51$619.46$37,168124.03%13.18%
06/24/20246,226TEF.MC Telefónica1.68%4.00€4.53€28,204€13.34%11.77%
07/02/202488TSLA Tesla Motors-4.88%$248.13$302.15$26,58921.77%9.43%
05/07/2018260XLK SPDR Technology sector-0.71%$68.67$251.42$65,369266.15%23.18%
05/07/20186,868Cash   0.00%1.00€1.00€6,868€0.00%2.87%
EUR/USD: 1.17698    GBP/EUR: 1.1600 Portfolio Value: $281,962 239,564€ 100%

 # PerformanceACGBCNS&P500
Return:
139.56%
159.77%
Annualized Return:11.04%12.12%
Std (Volatility):17.0118.82
Sharpe:0.410.43
Beta:0.481.00
Jensen Alpha:0.310.00
Drawdown:33.9233.92



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