Portfolio

lightgbmLGBM long only· rebalanceo 2020-07-31

Run

Línea temporal

72 rebalanceos

Snapshot (histórico)

Long book

15

gross 100.0%

Short book

0

gross 0.0%

Sectores cubiertos

5

15 posiciones

Sortino del run

1.72

Realizado en los 63 días posteriores

exposición media por posición

Long avg

2.63%

Short avg

bajar = bueno para el short

Spread long − short

Long book

15 posiciones
#TickerCompañíaSectorScorePesoRet realizado 63d
1CCLCarnival Corporation & plcConsumer Cyclical0.5046.67%4.76%
2PRUPrudential Financial, Inc.Financial Services0.4346.67%1.01%
3WDCWestern Digital CorporationTechnology0.4316.67%-15.14%
4BAThe Boeing CompanyIndustrials0.4196.67%-11.67%
5SCHWThe Charles Schwab CorporationFinancial Services0.3256.67%21.46%
6NCLHNorwegian Cruise Line Holdings Ltd.Consumer Cyclical0.3226.67%24.17%
7PFGPrincipal Financial Group, Inc.Financial Services0.3076.67%-7.85%
8VRSNVeriSign, Inc.Technology0.2986.67%-10.61%
9UNMUnum GroupFinancial Services0.2906.67%5.14%
10KSSKohl's CorporationConsumer Cyclical0.2876.67%9.61%
11NTAPNetApp, Inc.Technology0.2856.67%3.65%
12DXCDXC Technology CompanyTechnology0.2816.67%1.48%
13RFRegions Financial CorporationFinancial Services0.2816.67%22.60%
14EQREquity ResidentialReal Estate0.2766.67%-9.58%
15ZIONZions Bancorporation, National AssociationFinancial Services0.2756.67%0.41%

Short book

0 posiciones
#TickerCompañíaSectorScorePesoRet realizado 63d
Sin posiciones short.

Sector exposure en el rebalanceo seleccionado

2020-07-31
SectorLongShortNetn longn short
Financial Services40.0%0.0%40.00%60
Technology26.7%0.0%26.67%40
Consumer Cyclical20.0%0.0%20.00%30
Industrials6.7%0.0%6.67%10
Real Estate6.7%0.0%6.67%10