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 # JRM Portfolio       Currency:EURTop 25: 115
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Start:10/29/2014 Day Return:
0.00%
Day Rank:793
Days: 3461 Month Return:
-2.19%
Month Rank:894
Last:2023-04-05 Year Return:
0.00%
Year Rank:374
Visits:2793 All Time Return:
76.78%
All Time Rank:475


 JanFebMarAprMayJunJulAugSepOctNovDec Year S&P500
2014
    
    
    
    
    
    
    
    
    
2.43%
4.80%
-3.69%
3.39%
3.86%
2015
8.78%
6.65%
4.49%
-1.66%
-1.02%
-3.78%
3.62%
-7.49%
0.65%
4.79%
1.37%
-3.74%
12.00%
-0.73%
2016
-3.10%
-1.79%
1.22%
0.83%
1.62%
-1.60%
0.27%
1.70%
-0.63%
2.89%
0.28%
6.06%
7.70%
9.54%
2017
0.43%
1.00%
7.29%
1.73%
-3.64%
-4.09%
-0.42%
0.34%
0.71%
-0.29%
-1.74%
0.41%
1.30%
15.21%
2018
-0.24%
-3.52%
-1.91%
6.63%
-1.60%
-0.23%
0.21%
1.33%
-0.40%
-5.66%
-5.30%
-1.73%
-12.25%
-2.81%
2019
3.70%
4.18%
1.80%
3.14%
-1.93%
1.56%
-0.12%
-0.12%
2.43%
1.39%
0.65%
0.99%
18.98%
28.87%
2020
-3.94%
-6.31%
-5.81%
1.26%
0.12%
2.11%
1.06%
0.51%
-0.06%
0.86%
0.57%
-0.01%
-9.64%
16.27%
2021
-0.17%
0.40%
1.19%
-0.68%
0.39%
-0.02%
0.35%
0.13%
0.32%
0.05%
0.59%
1.16%
3.76%
27.28%
2022
-0.07%
-0.12%
-0.09%
1.14%
-0.93%
9.83%
1.60%
2.80%
-3.08%
0.91%
6.37%
-3.15%
15.48%
-20.04%
2023
6.68%
0.16%
1.66%
1.74%
-2.08%
1.68%
2.05%
4.49%
-2.26%
-1.40%
3.36%
-0.30%
16.52%
24.54%
2024
2.14%
4.06%
2.09%
-2.19%
    
    
    
    
    
    
    
    
6.13%
5.22%

 # Stocks & Cash
Date  Amount      Ticker       % Day   Buy   Last Quote  Value % Return Weight
08/02/202174GE General Electric Co-1.36%$100.22$154.65$11,40554.31%6.06%
12/20/201629MC.PA LVMH2.84%179.55€804.00€23,316€347.79%13.19%
10/30/201458OR.PA L'OREAL0.76%122.12€418.25€24,259€242.48%13.72%
10/29/2014100PG Procter & Gamble Co-The0.29%$86.58$156.41$15,64180.65%8.31%
05/25/2015650REP.MC Repsol-0.13%17.93€15.20€9,880€-15.23%5.59%
01/24/20178,000SAB.MC Sabadell2.92%1.31€1.44€11,520€10.21%6.52%
12/20/2016297TOD.MI Tod S0.19%60.32€43.08€12,795€-28.58%7.24%
12/20/201669,608Cash   0.00%1.00€1.00€69,608€0.00%39.37%
EUR/USD: 1.06454    GBP/EUR: 1.1700 Portfolio Value: $188,194 176,784€ 100%

 # PerformanceJRMS&P500
Return:
76.60%
152.71%
Annualized Return:6.03%10.01%
Std (Volatility):11.2617.79
Sharpe:0.180.34
Beta:0.291.00
Jensen Alpha:0.030.00
Drawdown:26.4133.92



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