Maximum Drawdown vs. Annual Return (10 Year)

for period ending October 31, 2024

In the scatterplot below, each dot is a Portfolio Ingredient (Asset Classes, Equities, or Sectors).

Note: This Free subscription only includes access to the 1-year data. Subscribe for full access to 3-, 5-, 10-, 15-, and 20-year metrics. For each Portfolio Ingredient, get access to sortable lists and clickable scatterplots.

Maximum Drawdown vs. Annual Return
All ingredients S&P 500 (SPY) U.S. Bonds (BND) Balanced (60% Equity / 40% Bonds)