Global Asset Classes, ranked by Beta
for period ending February 28, 2025
More ways to view this list of Portfolio Ingredients:
Ingredient Summary Page (Total Return with Maximum Drawdown Scatterplots)
by Return: Total Return (1, 3, 5, 10, 15, 20 years), Historical Return (past 5 years)
by Risk vs. Return: Risk vs. Return Compass, M-Squared, Alpha, Sharpe Ratio, Sortino Ratio, Treynor Ratio
by Volatility / Risk: Maximum Drawdown, Standard Deviation, Downside Deviation, Beta
by Peer Group: Global Asset Classes, Global Equities, Global Sectors
Beta measures the volatility vs. the S&P 500 equity benchmark, as represented by the SPY exchange-traded fund. A beta of 1.10 means that the asset class is 10% more volatile than the benchmark.
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Portfolio Ingredients: Global Asset Classes Peer Group
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Beta | Total Return, annualized | ||||||||||||||
Ingredient Name | ID | Category | 1 year | 3 year | 5 year | 10 year | 15 year | 20 year | 1 year | 3 year | 5 year | 10 year | 15 year | 20 year | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Group average | |||||||||||||||
Agriculture | DBA | Commodities | 0.56 | * | * | * | * | * | 24.3% | * | * | * | * | * | |
Industrial Metals | DBB | Commodities | -0.56 | * | * | * | * | * | 15.1% | * | * | * | * | * | |
Oil | DBO | Commodities | -0.19 | * | * | * | * | * | 1.8% | * | * | * | * | * | |
PowerSh Commodity | DBC | Commodities: Broad | -0.19 | * | * | * | * | * | 5.4% | * | * | * | * | * | |
SPDR Gold Trust | GLD | Commodities: Prec Metals | -0.07 | * | * | * | * | * | 39.1% | * | * | * | * | * | |
AUStralia | FXA | Currency: AUS Dollar | 0.45 | * | * | * | * | * | -3.0% | * | * | * | * | * | |
CAN Canada Dollar | FXC | Currency: CAN Dollar | 0.26 | * | * | * | * | * | -4.6% | * | * | * | * | * | |
CHF Swiss Franc | FXF | Currency: CHF Franc | 0.21 | * | * | * | * | * | -2.2% | * | * | * | * | * | |
EUR Euro | FXE | Currency: EUR Euro | 0.11 | * | * | * | * | * | -2.0% | * | * | * | * | * | |
GBP UK Pound | FXB | Currency: GBP Pound | 0.16 | * | * | * | * | * | 2.8% | * | * | * | * | * | |
JPY Japan Yen | FXY | Currency: JPY Yen | 0.50 | * | * | * | * | * | -0.7% | * | * | * | * | * | |
USD US Dollar indx | UUP | Currency: USD index | -0.20 | * | * | * | * | * | 9.3% | * | * | * | * | * | |
iShares MSCI | EEM | Equity: Emerging Mkts | 0.24 | * | * | * | * | * | 10.6% | * | * | * | * | * | |
Alerian US MLP | AMLP | Equity: MLP | 1.06 | * | * | * | * | * | 23.0% | * | * | * | * | * | |
US Corp Med 5-10y | IGIB | Fixed Income | 0.38 | * | * | * | * | * | 7.7% | * | * | * | * | * | |
Emerg Mkt Hi Yld | EMHY | Fixed Income | 0.36 | * | * | * | * | * | 13.4% | * | * | * | * | * | |
Muni Hi Yield | HYD | Fixed Income | 0.26 | * | * | * | * | * | 5.6% | * | * | * | * | * | |
US Treas 7-10yr | IEF | Fixed Income | 0.43 | * | * | * | * | * | 4.9% | * | * | * | * | * | |
Intl Treas | IGOV | Fixed Income | 0.48 | * | * | * | * | * | -1.1% | * | * | * | * | * | |
MktVectors Intl Hi Yield | IHY | Fixed Income | 0.24 | * | * | * | * | * | 6.8% | * | * | * | * | * | |
MktVectors Intermed Muni | ITM | Fixed Income | 0.17 | * | * | * | * | * | 2.6% | * | * | * | * | * | |
US Hi Yield | JNK | Fixed Income | 0.30 | * | * | * | * | * | 9.7% | * | * | * | * | * | |
US Mort Backed | MBB | Fixed Income | 0.42 | * | * | * | * | * | 6.5% | * | * | * | * | * | |
US Inflation Prot | TIP | Fixed Income | 0.28 | * | * | * | * | * | 6.0% | * | * | * | * | * | |
U.S. Total Bond Market | AGG | Fixed Income: Aggregate | 0.36 | * | * | * | * | * | 5.8% | * | * | * | * | * | |
U.S. Total Bond Market | BND | Fixed Income: Aggregate | 0.35 | * | * | * | * | * | 5.8% | * | * | * | * | * | |
iShares Emerg | EMB | Fixed Income: Aggregate | 0.46 | * | * | * | * | * | 10.1% | * | * | * | * | * | |
PwrSh Emerg Mkt Sov Debt | PCY | Fixed Income: Aggregate | 0.66 | * | * | * | * | * | 9.5% | * | * | * | * | * | |
T-Bill 1-3 Month | BIL | Fixed Income: Cash-like | 0.00 | * | * | * | * | * | 5.0% | * | * | * | * | * | |
iShares Treas 20y+ | TLT | Fixed Income: Long-Term | 0.83 | * | * | * | * | * | 2.2% | * | * | * | * | * | |
iSh Treas 1-3y | SHY | Fixed Income: Short-Term | 0.08 | * | * | * | * | * | 5.2% | * | * | * | * | * | |
ACWI (Global) | ACWI | Int'l Equity: Core | 0.86 | * | * | * | * | * | 15.3% | * | * | * | * | * | |
Intl Dev Core | EFA | Int'l Equity: Lg Cap | 0.60 | * | * | * | * | * | 8.9% | * | * | * | * | * | |
iSh EAFE Growth | EFG | Int'l Equity: Lg Cap Gro | 0.82 | * | * | * | * | * | 2.8% | * | * | * | * | * | |
iSh EAFE Value | EFV | Int'l Equity: Lg Cap Val | 0.44 | * | * | * | * | * | 15.0% | * | * | * | * | * | |
Intl Dev Sm Cap | SCZ | Int'l Equity: Small Cap | 0.72 | * | * | * | * | * | 6.2% | * | * | * | * | * | |
US Large Core | IWB | U.S. Equity: Lg / Mid | 1.04 | * | * | * | * | * | 18.1% | * | * | * | * | * | |
iSh Russell 3000 | IWV | U.S. Equity: Lg Cap | 1.07 | * | * | * | * | * | 17.3% | * | * | * | * | * | |
S&P 500 | SPY | U.S. Equity: Lg Cap | 1.00 | * | * | * | * | * | 18.4% | * | * | * | * | * | |
iSh Russ 1000 Gro | IWF | U.S. Equity: Lg Cap Gro | 1.03 | * | * | * | * | * | 19.8% | * | * | * | * | * | |
PowerShares QQQ | QQQ | U.S. Equity: Lg Cap Gro | 0.98 | * | * | * | * | * | 16.4% | * | * | * | * | * | |
iSh Russ 1000 Val | IWD | U.S. Equity: Lg Cap Val | 1.05 | * | * | * | * | * | 15.7% | * | * | * | * | * | |
iSh Russell | IWC | U.S. Equity: Micro Cap | 1.41 | * | * | * | * | * | 5.1% | * | * | * | * | * | |
iSh US Mid Core | IWR | U.S. Equity: Mid Cap | 1.27 | * | * | * | * | * | 12.2% | * | * | * | * | * | |
iSh US Mid Growth | IWP | U.S. Equity: Mid Cap Gro | 1.49 | * | * | * | * | * | 14.2% | * | * | * | * | * | |
iSh US Mid Value | IWS | U.S. Equity: Mid Cap Val | 1.20 | * | * | * | * | * | 11.5% | * | * | * | * | * | |
iSh Russ 2000 | IWM | U.S. Equity: Sm Cap | 1.56 | * | * | * | * | * | 6.6% | * | * | * | * | * | |
iSh Russell 2000 | IWO | U.S. Equity: Sm Cap Gro | 1.74 | * | * | * | * | * | 5.7% | * | * | * | * | * | |
iSh Russ 2000 Val | IWN | U.S. Equity: Sm Cap Val | 1.40 | * | * | * | * | * | 7.2% | * | * | * | * | * | |
iShares Real Estate | IYR | U.S. Real Estate | 1.23 | * | * | * | * | * | 13.9% | * | * | * | * | * | |
Vanguard Real Estate | VNQ | U.S. Real Estate | 1.22 | * | * | * | * | * | 14.1% | * | * | * | * | * |