Portfolio

lightgbmLGBM dual tail· rebalanceo 2022-01-31

Run

Línea temporal

72 rebalanceos

Snapshot (histórico)

Long book

15

gross 50.0%

Short book

15

gross -50.0%

Sectores cubiertos

9

30 posiciones

Sortino del run

-0.62

Realizado en los 63 días posteriores

exposición media por posición

Long avg

-15.15%

Short avg

-0.20%

bajar = bueno para el short

Spread long − short

-14.95%

Long book

15 posiciones
#TickerCompañíaSectorScorePesoRet realizado 63d
1QCOMQUALCOMM IncorporatedTechnology0.7053.33%-20.07%
2ADSKAutodesk, Inc.Technology0.6923.33%-25.67%
3NOWServiceNow, Inc.Technology0.6873.33%-19.66%
4MSCIMSCI Inc.Financial Services0.6773.33%-23.14%
5FTNTFortinet, Inc.Technology0.6663.33%-5.32%
6DXCMDexCom, Inc.Healthcare0.6573.33%-9.55%
7ISRGIntuitive Surgical, Inc.Healthcare0.6543.33%-18.50%
8AMDAdvanced Micro Devices, Inc.Technology0.6543.33%-24.80%
9CDNSCadence Design Systems, Inc.Technology0.6463.33%0.81%
10ANSSANSYS, Inc.Technology0.6443.33%-18.67%
11LRCXLam Research CorporationTechnology0.6433.33%-19.10%
12NVDANVIDIA CorporationTechnology0.6423.33%-22.87%
13MPWRMonolithic Power Systems, Inc.Technology0.6413.33%12.00%
14ADBEAdobe Inc.Technology0.6393.33%-27.39%
15ABMDAbiomed, Inc.Healthcare0.6393.33%-5.27%

Short book

15 posiciones
#TickerCompañíaSectorScorePesoRet realizado 63d
1GPSThe Gap, Inc.Consumer Cyclical0.495-3.33%-32.54%
2DISHDISH Network CorporationCommunication Services0.371-3.33%-12.18%
3OXYOccidental Petroleum CorporationEnergy0.289-3.33%41.31%
4NLSNNielsen Holdings plcIndustrials0.333-3.33%33.68%
5FANGDiamondback Energy, Inc.Energy0.254-3.33%4.88%
6WBDWarner Bros. Discovery, Inc.Communication Services0.381-3.33%-34.36%
7LWLamb Weston Holdings, Inc.Consumer Defensive0.514-3.33%2.61%
8BAThe Boeing CompanyIndustrials0.514-3.33%-30.49%
9BXPBXP, Inc.Real Estate0.332-3.33%5.72%
10WRKWestRock CompanyConsumer Cyclical0.463-3.33%10.47%
11UAUnder Armour, Inc.Consumer Cyclical0.450-3.33%-12.83%
12WDCWestern Digital CorporationTechnology0.537-3.33%16.06%
13GPNGlobal Payments Inc.Financial Services0.361-3.33%-16.69%
14COPConocoPhillipsEnergy0.283-3.33%8.56%
15AALAmerican Airlines Group Inc.Industrials0.417-3.33%12.81%

Sector exposure en el rebalanceo seleccionado

2022-01-31
SectorLongShortNetn longn short
Technology36.7%3.3%33.33%111
Consumer Cyclical0.0%10.0%-10.00%03
Energy0.0%10.0%-10.00%03
Healthcare10.0%0.0%10.00%30
Industrials0.0%10.0%-10.00%03
Communication Services0.0%6.7%-6.67%02
Financial Services3.3%3.3%0.00%11
Consumer Defensive0.0%3.3%-3.33%01
Real Estate0.0%3.3%-3.33%01