Back to Home
Demo Portfolio
Balanced 60/40
A traditional balanced portfolio with stocks and bonds
Worst-Case Drawdown
-22.3%
vs your comfort: -20%
Volatility
12.1%
annualized
Sharpe Ratio
1.05
risk-adjusted return
Market Beta
0.72
market sensitivity
Holdings
S&P 500 ETF
SPY · Diversified
40%
Total Bond ETF
BND · Bonds
30%
International ETF
VXUS · International
15%
REIT ETF
VNQ · Real Estate
10%
Gold ETF
GLD · Commodities
5%
Top Risks
Interest Rate Risk
30% bond allocation sensitive to rates
Inflation Erosion
Fixed income may underperform in high inflation
Correlation Breakdown
Stocks and bonds may fall together
Stress Scenarios
2022 Rate Hike Environment
Already occurred
-18.4%
Stagflation Scenario
Moderate
-25.2%
Mild Recession
High
-15.8%
This is a demo analysis. Want to analyze your own portfolio?
Analyze My Portfolio