PAMM Statistics

 
Updated at Aug 31, 2010
Average year -100%
Return over 22 d. -83%
Average month -92.5%
Last day -55.2%
Max. Drawdown 84%
Worst day 56%
Max. leverage 1:477
Stand. deviation
Downside Deviation 84.2%
Best day 67%
Volatility 39.2%
Return / Risk -1.2
Calmar ratio -1.0969
Sharpe ratio 0
Sortino ratio -1.1071
Shvager ratio 0.652
Prefer horizon 3 m.
Longest drawdown 14 d.
Calculation period 22 d.
Trade days 16 (100%)
History 22 d.
Current stats
Drawdown 84% / 84%
Drawdown duration 5 / 14 d.
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