Compare Portfolios

Select up to 4 portfolios to compare stats, allocations, and historical growth side-by-side.

Tactical
CAGR
7.3%
Max DD
-13.1%
Sharpe
0.43

Allocations

Ivy Portfolio - Timing
US Total Stock Market20%
International Equity20%
US Real Estate20%
US Aggregate Bond Index20%
Broad Commodities20%

Growth of $10,000

All portfolios normalized to $10,000 starting in 1993.

Ivy Portfolio - Timing