Video Game Portfolio Simulator

1001502002503003501001502002503003502011201220132014201520162017201820192020

24.56%

Volatility

0.37

Sharpe Ratio

9.14%

CAGR

44.21%

Max Drawdown

5.50

Profit/Max Drawdown

243.35%

Overall Return
Asset Allocation  
ATVI 100 (9%)
CYOU 100 (9%)
EA 100 (9%)
GIGM 100 (9%)
GLUU 100 (9%)
GRVY 100 (9%)
NCTY 100 (9%)
SCPL 100 (9%)
SE 100 (9%)
TTWO 100 (9%)
ZNGA 100 (9%)
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