Strategic: DIY, ranked by Maximum Drawdown

for period ending September 30, 2026

More ways to view this list of Portfolio Recipes:
Recipe 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: Strategic: DIY, Tactical: DIY, Tactical: Managed

Maximum Drawdown is the largest percentage drop in portfolio value over the last 1, 3, 5, 10, 15, and 20 years. This includes dividends and splits.

Note: The Free plan includes full multi-year analytics for all 200+ Portfolio Recipes. Click any recipe name to view its complete performance details. Investable percentage allocations require a paid plan.

Maximum Drawdown vs. Annual Return
● Portfolio Recipes: Strategic: DIY ● S&P 500 (SPY) ● U.S. Bonds (BND) ● Balanced (60% Equity / 40% Bonds)

Portfolio Recipes: Strategic: DIY Peer Group
Sort by any column by clicking on the gray column heading.

      Maximum Drawdown   Total Return, annualized
Recipe 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  
 
U.S. Total Bond Market BND Benchmark 4.1% 4.1% 15.8% 17.3% 17.3% 17.3%   -1.5% 4.2% -0.6% 1.1% 1.8% 2.9%
S&P 500 SPY Benchmark 5.8% 7.6% 23.9% 23.9% 23.9% 50.8%   15.7% 22.8% 13.7% 15.2% 15.6% 11.1%
Strategic 50-50 s.5050 Balanced 3.4% 3.5% 19.6% 19.6% 19.6% 26.7%   6.8% 13.1% 6.0% 8.0% 8.5% 7.2%
Strategic 60-40 Portfolio s.6040 Benchmark 3.7% 4.5% 20.7% 20.7% 20.7% 32.2%   8.5% 14.9% 7.3% 9.3% 9.9% 8.0%
7Twelve Israelson s.712 Balanced 2.5% 3.8% 16.0% 19.1% 19.1%     13.4% 13.4% 6.8% 7.2% 6.9%  
Couch Potato: Scott Burns s.couc Balanced 3.2% 3.2% 19.4% 19.4% 19.4% 28.7%   6.4% 12.8% 6.2% 8.4% 8.6% 7.3%
Ben Graham 50-50 s.grah Balanced 3.7% 3.7% 18.2% 18.2% 18.2% 32.4%   6.6% 11.6% 5.6% 6.4% 6.9% 5.7%
Safe Haven Portfolio s.have Balanced 11.1% 11.1% 15.1% 15.1% 15.1%     5.9% 16.4% 8.8% 7.4% 6.9%  
Six Ways from Sunday s.lazy Balanced 3.2% 4.7% 17.0% 21.4% 21.4%     11.3% 12.6% 7.2% 7.0% 7.3%  
ETF Moderate s.mode Balanced 4.3% 4.3% 21.6% 21.6% 21.6%     7.5% 13.4% 5.4% 7.4% 8.0%  
David Swensen inspired s.swen Balanced 5.2% 5.2% 25.1% 25.1% 25.1%     6.9% 13.2% 4.7% 7.3% 8.4%  
Lazy: Ultimate Buy & Hold s.buyh Balanced 4.8% 4.8% 18.7% 18.7% 18.7% 35.7%   7.9% 11.6% 4.9% 6.3% 6.8% 5.7%
Lazy: Coffeehouse s.coff Balanced 4.3% 5.1% 19.8% 19.8% 19.8% 36.0%   6.4% 11.2% 4.3% 6.4% 7.6% 6.3%
Lazy: Margaritaville s.marg Balanced 5.0% 5.0% 23.0% 23.0% 23.0% 40.5%   10.4% 15.3% 6.9% 8.5% 8.5% 6.7%
Lazy: Smart Money s.smar Balanced 4.1% 4.1% 17.1% 17.1% 17.1% 37.6%   8.7% 12.5% 6.1% 7.3% 8.0% 6.4%
Strategic 70-30 Portfolio s.7030 High Equity 4.0% 5.5% 21.7% 21.7% 21.7% 37.3%   10.2% 16.7% 8.6% 10.7% 11.2% 8.8%
Strategic 80-20 Portfolio s.8020 High Equity 4.4% 6.5% 22.7% 22.7% 22.7% 42.1%   11.9% 18.6% 9.9% 12.0% 12.6% 9.6%
ETF Aggressive s.aggr High Equity 5.6% 5.6% 23.5% 23.5% 23.5%     10.4% 15.6% 7.2% 9.1% 9.0%  
Ben Stein inspired s.bens High Equity 4.6% 4.6% 19.8% 19.8% 19.8% 45.0%   14.7% 17.4% 9.8% 10.0% 9.9% 7.5%
Low Volatility Portfolio s.lowv High Equity 3.2% 3.2% 13.2% 13.2%       4.6% 9.0% 4.8% 5.1%    
Lazy: Aronson s.aron High Equity 5.5% 5.5% 24.3% 24.3% 24.3% 41.1%   11.0% 15.3% 5.8% 8.2% 8.7% 7.2%
Lazy: No Brainer s.nobr High Equity 5.2% 5.2% 23.4% 23.4% 23.4% 43.3%   9.2% 15.3% 7.2% 9.1% 9.7% 7.5%
Lazy: Second Grader s.seco High Equity 5.8% 5.8% 24.5% 24.5% 24.5% 49.2%   14.3% 19.9% 10.3% 11.7% 11.8% 8.7%
Lazy: Yale Unconventional s.yale High Equity 5.3% 5.3% 25.6% 25.6% 25.6% 42.2%   6.7% 13.3% 4.4% 7.1% 8.3% 6.8%
Harry Browne inspired s.brow Low Equity 5.9% 5.9% 17.5% 17.5% 17.5% 17.5%   4.1% 14.1% 6.1% 6.6% 6.0% 6.9%
Ray Dalio inspired s.dali Low Equity 2.6% 2.6% 17.9% 17.9% 17.9%     4.6% 10.0% 3.5% 5.1% 5.1%  
Ivy Portfolio s.ivyp Low Equity 1.9% 3.3% 17.0% 18.1% 18.1%     15.8% 14.3% 7.3% 8.1% 7.6%  
No Equity Portfolio s.noeq Low Equity 12.2% 12.2% 24.1% 24.1% 24.1% 24.1%   0.5% 13.5% 3.8% 4.9% 5.2% 6.8%
Permanent Plus s.plus Low Equity 8.8% 8.8% 24.0% 24.0% 24.0% 24.0%   2.6% 18.3% 7.9% 9.3% 8.2% 9.2%
Black Swan Hyperinflation s.swan Low Equity 9.9% 9.9% 14.1% 23.8% 37.2%     23.6% 18.3% 14.5% 9.6% 5.2%  
Talmud Dividend Equities s.talm Low Equity 9.7% 9.7% 16.7% 16.7% 16.7% 36.0%   6.0% 17.5% 9.6% 8.9% 9.0% 8.7%
Worst Case Scenario s.wors Low Equity 5.2% 5.2% 15.5% 15.5% 29.7%     2.2% 5.4% 0.7% 1.5% -0.7%  
Talmud with Blue Chip s.talc Low Equity 4.5% 4.9% 19.9% 19.9% 19.9% 37.9%   3.9% 10.2% 4.1% 6.4% 7.8% 6.6%
Talmud Broad Market s.talb Low Equity 4.4% 5.1% 22.9% 22.9% 22.9% 41.1%   5.2% 12.2% 4.6% 6.9% 8.5% 6.9%
Talmud with Small Cap s.tals Low Equity 4.6% 8.4% 19.9% 19.9% 19.9% 41.7%   6.5% 10.8% 3.6% 5.8% 7.4% 5.9%
Talmud Equities and Gold s.talg Low Equity 7.5% 7.5% 21.2% 21.2% 21.2% 38.5%   8.8% 21.5% 11.2% 10.8% 10.3% 9.6%