Portfolio

lightgbmLGBM long only· rebalanceo 2025-12-31 (último)

Run

Línea temporal

72 rebalanceos

Snapshot (live)

Long book

15

gross 100.0%

Short book

0

gross 0.0%

Sectores cubiertos

2

15 posiciones

Sortino del run

1.72

Realizado en los 63 días posteriores

exposición media por posición

Long avg

-11.51%

Short avg

bajar = bueno para el short

Spread long − short

Long book

15 posiciones
#TickerCompañíaSectorScorePesoRet realizado 63d
1CDNSCadence Design Systems, Inc.Technology0.1346.67%-10.53%
2DDOGDatadog, Inc.Technology0.1306.67%-13.82%
3SNPSSynopsys, Inc.Technology0.1176.67%-19.05%
4WDAYWorkday, Inc.Technology0.1146.67%-46.15%
5CRWDCrowdStrike Holdings, Inc.Technology0.1036.67%-12.92%
6TERTeradyne, Inc.Technology0.1006.67%41.90%
7MCHPMicrochip Technology IncorporatedTechnology0.0946.67%3.90%
8MPWRMonolithic Power Systems, Inc.Technology0.0896.67%23.33%
9EGEverest Re Group, Ltd.Financial Services0.0866.67%-1.21%
10ANETArista Networks, Inc.Technology0.0856.67%-5.66%
11ADSKAutodesk, Inc.Technology0.0846.67%-18.74%
12FICOFair Isaac CorporationTechnology0.0816.67%-40.66%
13HOODRobinhood Markets, Inc.Financial Services0.0786.67%-50.14%
14PLTRPalantir Technologies Inc.Technology0.0776.67%-12.64%
15PANWPalo Alto Networks, Inc.Technology0.0756.67%-10.22%

Short book

0 posiciones
#TickerCompañíaSectorScorePesoRet realizado 63d
Sin posiciones short.

Returns mensuales

net return por rebalanceo

Heatmap mensual

net return · totales anuales compuestos
añoEFMAMJJASONDtotal
2020-5.2-21.336.55.74.213.77.9-3.1-2.113.72.4-0.351.3%
20217.80.60.0-1.08.55.04.5-5.59.42.03.6-10.824.5%
2022-5.88.4-7.1-5.5-10.220.4-4.1-7.00.79.1-9.222.45.6%
2023-3.94.40.42.04.72.7-1.7-5.7-1.115.07.77.434.6%
20244.36.7-7.01.25.9-0.44.92.30.09.0-2.63.230.1%
2025-5.4-4.02.89.58.0-1.32.96.43.4-5.0-0.316.9%
36%+36%

Contribución long vs short

descomposición del net return mensual

Net exposure por sector

12 sectores · serie completa