Loading...
Skip to Content

Walmart Inc

Provider: Exchange
Annualised Return 12.27%
Realised Volatility 17.22%
Downside Volatility 11.13%
Max Drawdown -32.98%
Winning months 58.6%
Sharpe Ratio 0.71
Sortino Ratio 1.1
Calmar Ratio 0.37
Viking Ratio 0.41
Monthly performance
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD
2024 4.82% 6.4% 3.01% -1.36% 11.18% 2.97% 1.37% 12.83% 4.56% 1.49% 5.67% 66.4%
2023 1.47% -1.21% 4.17% 2.39% -2.35% 7.02% 1.7% 2.08% -1.65% 2.18% -4.72% 1.64% 12.88%
2022 -3.37% -3.33% 10.61% 2.73% -15.62% -5.48% 8.61% 0.82% -2.15% 9.74% 7.09% -6.62% -0.46%
2021 -2.54% -7.52% 4.99% 3% 1.91% -0.71% 1.08% 4.28% -5.89% 7.2% -5.88% 3.3% 1.97%
2020 -3.66% -5.95% 5.98% 6.98% 2.51% -3.45% 8.03% 7.74% 0.76% -0.83% 10.12% -5.31% 23.32%
2019 2.88% 3.3% -0.94% 5.44% -0.84% 8.92% -0.1% 4.02% 3.87% -1.2% 1.56% 0.24% 30.16%
2018 7.95% -15.56% -0.57% -0.57% -6.1% 3.77% 4.18% 8.05% -2.03% 6.78% -2.62% -4.09% -3.43%
2017 -3.44% 6.28% 2.37% 4.3% 5.25% -3.72% 5.7% -1.79% 0.09% 11.74% 11.36% 2.1% 46.56%
2016 8.25% -0.03% 4.01% -2.37% 6.62% 3.16% -0.07% -1.43% 0.95% -2.91% 0.59% -1.16% 16.03%
2015 -1.05% -1.24% -1.41% -5.11% -4.24% -4.5% 1.48% -9.46% 0.17% -11.72% 2.8% 5.05% -26.64%
2014 -5.1% 0.03% 2.98% 4.29% -3.09% -2.21% -1.98% 3.29% 1.28% -0.26% 14.78% -1.35% 11.87%
2013 2.52% 1.19% 6.4% 3.86% -3.13% -0.47% 4.63% -5.8% 1.34% 3.77% 5.55% -2.3% 18.16%
2012 2.68% -3.72% 4.28% -3.74% 12.49% 5.93% 6.76% -1.93% 1.65% 1.65% -4% -4.74% 16.98%
2011 3.97% -7.3% 0.84% 5.63% 1.1% -3.77% -0.81% 1.64% -2.43% 9.29% 3.84% 2.09% 13.85%
2010 -0.04% 1.2% 3.41% -3.53% -5.2% -4.93% 6.49% -1.48% 6.74% 1.21% -0.15% 0.25% 3.22%
2009 -15.95% 4.5% 6.4% -3.26% -0.78% -2.61% 2.97% 2.54% -3.5% 1.2% 9.8% -1.52% -2.59%
2008 6.75% -2.27% 6.73% 10.06% 0.01% -2.67% 4.31% 1.17% 1.39% -6.81% 0.13% 0.76% 20%
2007 -0.19% 1.3% -2.35% 2.07% -0.21% 1.07% -4.49% -4.57% 0.05% 3.57% 5.95% -0.33% 1.38%
*Performance is net of rebalancing costs, fixed fees (0% annually) and performance fees (0% over high watermark).