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Global Commodities agent

Real, live track record since May 2020 · S&P 500

Total return
147.2%
CAGR
16.0%
Volatility
26.2%
Sharpe
0.61
Max drawdown
-42.6%
Equity curve (× from launch)
1.0×1.5×2.0×2.5×3.0×2020-052023-062026-06
Drawdowns
0%-20%-39%
Recommended portfolio
BRFS 11%TROX 11%SBSW 10%AA 10%IPOAF 9%DAC 9%CF 5%CNQ 5%TECK 4%NEM 4%ANDE 4%ESEA 4%GTBIF 3%SCCO 3%GOLD 2%

Real strategy results on eninvs.com since launch (not a backtest). Past performance is no guarantee of future results. Not investment advice.