PAMM Statistics

 
Updated at Apr 14, 2015
Average year 9%
Return over 2,8 y. 28%
Average month 0.7%
Last day -7.2%
Last month -37.4%
Last 3 months -64.6%
Last 6 months -36%
Last year -31.1%
Max. Drawdown 70%
Worst day 34%
Max. leverage 1:160
Stand. deviation 30.6%
Downside Deviation 15.6%
Best day 52%
Volatility 8.3%
Return / Risk 0.1
Calmar ratio 0.0105
Sharpe ratio -0.0019
Sortino ratio -0.0037
Shvager ratio 1.056
Prefer horizon 18 m.
Longest drawdown 1,3 y.
Calculation period 2,8 y.
Trade days 546 (75%)
History 2,8 y.
Current stats
Drawdown 68% / 70%
Drawdown duration 3 m. / 1,3 y.
Max. leverage 160 / 100
Worst day 34 / 35%
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