Macroaxis: Personalized Investing
Simple Personalized Investing

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Theme Landscape

Investment horizon: 
  30 Days    Login   to change
United States
US
This theme covers companies involved in money management and investment banking services in USA. To change this theme or its current investment horizon please use the panel above and then hit the 'Optimize This Theme' button to continue

Risk and return landscape for Investing

    
Saving AccountMarketTheme EquitiesHypothetical Portfolio
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Assets rated by market efficiency

Efficiency (Sharpe Ratio)Risk (Volatility)Expected ReturnCurrent PriceAdvice *
Ocwen Financial CorpPrice Moved Up 0.72%   Price Moved Very Down 1.49%   Price Moved Up 1.08%    43.87   
Waddell Reed Financial IncPrice Moved Up 0.69%   Price Moved Very Down 1.08%   Price Moved Up 0.76%    47.20   
LPL Financial Holdings IncPrice Moved Up 0.58%   Price Moved Very Down 1.12%   Price Moved Up 0.66%    38.16   
Evercore Partners IncPrice Moved Up 0.56%   Price Moved Very Down 1.09%   Price Moved Up 0.62%    40.74   
Federated Investors IncPrice Moved Up 0.49%   Price Moved Very Down 1.85%   Price Moved Up 0.91%    27.31   
Walter Investment Management CorpPrice Moved Up 0.49%   Price Moved Very Down 2.38%   Price Moved Up 1.16%    40.30   
Greenhill Co IncPrice Moved Up 0.46%   Price Moved Very Down 1.07%   Price Moved Up 0.50%    50.67   
Affiliated Managers Group IncPrice Moved Up 0.46%   Price Moved Very Down 1.35%   Price Moved Up 0.63%    168.32   
Federal National Mortgage AssociationPrice Moved Up 0.44%   Price Moved Totally Down 7.89%   Price Moved Up 3.51%    1.64   
Jupiter Fund Management PlcPrice Moved Up 0.42%   Price Moved Very Down 1.11%   Price Moved Up 0.48%    354.30   
Washington Federal IncPrice Moved Up 0.42%   Price Moved Very Down 1.03%   Price Moved Up 0.44%    17.69   
The Federal Home Loan Mortgage CorporationPrice Moved Up 0.40%   Price Moved Totally Down 7.41%   Price Moved Up 2.97%    1.44   
SEI Investments CoPrice Moved Up 0.30%   Price Moved Very Down 1.30%   Price Moved Up 0.40%    30.49   
Oaktree Capital Group LLCPrice Moved Up 0.26%   Price Moved Very Down 1.80%   Price Moved Up 0.48%    54.68   
Hong Kong Exchanges and Clearing LtdPrice Moved Up 0.22%   Price Moved Very Down 1.23%   Price Moved Up 0.29%    133.10   
Apollo Investment CorporationPrice Moved Up 0.22%   Price Moved Very Down 1.06%   Price Moved Up 0.24%    8.80   
Investors Bancorp IncPrice Moved Up 0.17%   Price Moved Very Down 1.16%   Price Moved Up 0.20%    20.05   
GAMCO Investors IncPrice Moved Up 0.11%   Price Moved Totally Down 3.60%   Price Moved Up 0.40%    52.00   
KKR Financial Holdings LLCPrice Moved Up 0.05%   Price Moved Very Down 1.26%   Price Moved Up 0.08%    10.71   
Administradora de Fondos de Pensiones Provida SAPrice Moved Down 0.05%   Price Moved Down 0.58%   Price Moved Down 0.02%    103.00   
* Advice is based on 30 days investment horizon and default level of risk. Use Portfolio Analizer to fine-tune all your assumptions. Check your current assumptions here

Total return distribution analysis

Predicted Return Density
 
Returns   
Market   Portfolio   
α
  Alpha (Return Over Market)(0.0023) 
β
  Beta (Market Sensitivity) 1.63  
s
  Efficiency (Sharpe Ratio) 0.65  
σ
  Risk (Volatility) 0.75  
μ
  Expected Return 0.50  

Technical analysis of total daily returns

Risk Adjusted Performance0.3796
Market Risk Adjusted Performance0.4882
Mean Deviation0.7805
Downside Deviation1.15
Coefficient Of Variation148.0
Standard Deviation1.17
Variance1.37
Information Ratio0.4119
Jensen Alpha0.2935
Total Risk Alpha0.1506
Sortino Ratio0.4184
Treynor Ratio0.4782
Maximum Drawdown5.04
Value At Risk(0.95)
Potential Upside2.13

Investing Correlation Analysis


      Click cells to compare fundamentals

Correlation Matchups

High positive correlations

 WDRISBC  
 ISBCAMG  
 ISBCWAFD  
 LPLAAMG  
 ISBCSEIC  
 WDRSEIC  
 WDRAMG  
 WDRGBL  
   

Insignificant Correlation

 GHLJUP  
 FII0388  
 WACPVD  
 WAFDOAK  
 WACAINV  
 OCNGHL  
 0388KFN  
 WACFII  
   

High negative correlations

 EVR0388  
 SEICOAK  
 0388OAK  
 0388JUP  
 AINV0388  
 FIIOAK  
 PVDOCN  
 0388OCN  

Weakest Diversification

   

Strongest Diversification

   

Weakest Diversification

Assets performance indicators

Mean
Deviation
Jensen
Alpha
Sortino
Ratio
Treynor
Ratio
Semi
Deviation
Information
Ratio
Expected
Shortfall
Potential
Upside
Value
At Risk
Maximum
Drawdown
KFN 1.08 (0.17)(0.22) 0.08  0.96 (0.18)(1.49) 2.17 (1.42) 4.16 
JUP 0.93  0.26  0.24  0.63  0.00 0.17 (1.30) 2.71 (0.93) 4.42 
OAK 1.21  0.52  0.07 (2.60) 1.63  0.09 (1.28) 2.24 (1.85) 9.59 
SEIC 1.08 (0.13) 0.07  0.22  0.92  0.07 (1.34) 2.17 (2.08) 4.27 
GHL 0.88  0.12  0.20  0.39  0.00 0.17 (1.06) 2.36 (1.08) 3.71 
OCN 1.22  0.91  0.53  1.92  0.00 0.51 (1.67) 3.19 (0.79) 5.47 
GBL 2.49 (0.96) 0.02  0.09  4.11  0.02 (2.55) 4.61 (4.71) 15.20 
0388 1.06  0.45  0.02 (0.75) 0.62  0.02 (1.70) 2.91 (1.66) 4.06 
WAFD 0.84  0.05  0.13  0.34  0.09  0.12 (0.97) 1.73 (0.93) 4.47 
PVD 0.36 (0.19)(0.48)(0.06) 0.71 (0.55)(0.35) 0.67 (0.53) 2.57 
FNMA 5.90  2.12  0.41  0.75  2.45  0.40 (9.88) 18.33 (3.33) 36.88 
FMCC 5.39  1.55  0.41  0.63  2.54  0.35 (9.83) 16.52 (3.41) 36.82 
FII 1.51  0.10  0.29  0.34  1.21  0.32 (1.97) 3.06 (2.90) 6.24 
AMG 1.06  0.07  0.16  0.34  0.80  0.23 (1.20) 2.28 (0.99) 5.74 
AINV 0.80  0.02 (0.04) 0.33  1.04 (0.06)(0.88) 1.19 (2.25) 4.23 
EVR 0.93  0.18  0.36  0.42  0.00 0.28 (1.23) 2.04 (1.04) 3.99 
WAC 1.84  0.85  0.42  1.13  1.10  0.35 (2.45) 4.94 (2.65) 9.71 
ISBC 0.87 (0.29)(0.08) 0.12  1.17 (0.09)(0.97) 1.83 (1.15) 5.30 
LPLA 0.89  0.25  0.25  0.48  0.30  0.31 (1.16) 2.21 (1.28) 3.22 
WDR 0.77  0.30  0.29  0.50  0.00 0.41 (1.10) 2.12 (0.54) 4.22 
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