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Strategic: Managed, ranked by Downside Deviation

for period ending April 30, 2022
Use the table below to compare the performance of all the portfolios in this peer group. You may sort by any column by clicking on the column headings in the gray row.
   Downside Deviation Total Return, annualized
Recipe NameIDCategory1 year3 year5 year7 year10 year15 year 1 year3 year5 year7 year10 year15 year
  Group average8.1%***** -0.4%*****
Permanent PortfolioPRPFXLow Equity7.0%***** -1.7%*****
S&P 500 Equal WeightRSPEqual Weight9.3%***** 0.8%*****