Backtest Portfolio Asset Allocation

Portfolio Model Configuration

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Asset Allocation

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Portfolio Analysis Results (Oct 2009 - Dec 2022)

GBFly with Broad TIPS

Ticker Name Allocation
SPY SPDR S&P 500 ETF Trust 20.00%
VBR Vanguard Small-Cap Value ETF 20.00%
TLT iShares 20+ Year Treasury Bond ETF 20.00%
GLD SPDR Gold Shares 20.00%
TIP iShares TIPS Bond ETF 20.00%
Save portfolio »

GBFly with Short TIPS

Ticker Name Allocation
SPY SPDR S&P 500 ETF Trust 20.00%
VBR Vanguard Small-Cap Value ETF 20.00%
TLT iShares 20+ Year Treasury Bond ETF 20.00%
GLD SPDR Gold Shares 20.00%
STPZ PIMCO 1-5 Year US TIPS Index ETF 20.00%
Save portfolio »

GBFly with Long TIPS

Ticker Name Allocation
SPY SPDR S&P 500 ETF Trust 20.00%
VBR Vanguard Small-Cap Value ETF 20.00%
TLT iShares 20+ Year Treasury Bond ETF 20.00%
GLD SPDR Gold Shares 20.00%
LTPZ PIMCO 15+ Year US TIPS ETF 20.00%
Save portfolio »

Performance Summary

Portfolio performance statistics
PortfolioInitial BalanceFinal BalanceCAGRStdevBest YearWorst YearMax. DrawdownSharpe RatioSortino RatioMarket Correlation
GBFly with Broad TIPS$10,000$24,836 7.11% 8.05%18.86%-14.36%-19.20% 0.821.340.76
GBFly with Short TIPS$10,000$24,290 6.93% 7.70%18.16%-12.80%-17.54% 0.831.370.79
GBFly with Long TIPS$10,000$25,532 7.33% 8.96%20.69%-18.32%-23.42% 0.771.230.71

Portfolio Growth

   

Annual Returns

Trailing Returns

Trailing Returns
NameTotal ReturnAnnualized ReturnAnnualized Standard Deviation
3 MonthYear To Date1 year3 year5 year10 yearFull3 year5 year
GBFly with Broad TIPS5.99%-14.36%-14.36%3.12%4.51%5.43%7.11%11.71%10.00%
GBFly with Short TIPS5.74%-12.80%-12.80%3.41%4.63%5.48%6.93%11.11%9.54%
GBFly with Long TIPS6.66%-18.32%-18.32%2.37%4.15%5.37%7.33%13.24%11.24%
Trailing return and volatility are as of last calendar month ending December 2022
Notes and Disclosures
  • IMPORTANT: The projections or other information generated by Portfolio Visualizer regarding the likelihood of various investment outcomes are hypothetical in nature, do not reflect actual investment results and are not guarantees of future results. Results may vary with each use and over time.
  • The results do not constitute investment advice or recommendation, are provided solely for informational purposes, and are not an offer to buy or sell any securities. All use is subject to terms of service.
  • Investing involves risk, including possible loss of principal. Past performance is not a guarantee of future results.
  • Asset allocation and diversification strategies do not guarantee a profit or protect against a loss.
  • Hypothetical returns do not reflect trading costs, transaction fees, commissions, or actual taxes due on investment returns.
  • The results are based on information from a variety of sources we consider reliable, but we do not represent that the information is accurate or complete.
  • Refer to the related documentation sections for more details on terms and definitions, methodology, and data sources.
  • Portfolio model information represents a blended portfolio consisting of the model's underlying positions and assigned weights provided by the user and rebalanced at the specified schedule. The results were constructed using net of fee mutual fund performance. Portfolio Visualizer does not provide preferential treatment to any specific security or investment.
  • The results are based on the total return of assets and assume that all received dividends and distributions are reinvested.
  • Market capitalization refers to the total value of all a company's shares of stock. It is calculated by multiplying the price of a stock by its total number of outstanding shares. Large cap refers to a company with a market capitalization value of more than $10 billion, mid cap refers to a company with a market capitalization value between $2 and $10 billion, and small cap refers to a company with a market capitalization value below $2 billion. For funds and portfolios the equity market capitalization is calculated based on the long position of the equity holdings.
  • Credit quality measures the ability of a bond issuer to repay a bond's interest and principal in a timely manner. Ratings agencies research the financial health of each bond issuer and assign ratings to the bonds being offered. Lower-rated bonds generally offer higher yields to compensate investors for the additional risk. AAA is the highest possible rating that may be assigned to an issuer's bonds by any of the major credit rating agencies. Bonds rated AAA to AA are known as high-grade bonds, bonds rated A to BBB are known as medium-grade bonds, and bonds rated BB to C are known as non-investment grade bonds. An issuer will receive a rating of D if it is already in default on some of its debt. For funds and portfolios the fixed income credit quality break-down is calculated based on the long position of the fixed income holdings.
  • A fixed income maturity date refers to the specific date on which the investor's principal will be repaid. Duration measures a bond's or fixed income portfolio's price sensitivity to interest rate changes. If a bond has a duration of 5 years, and interest rates increase by 1%, the bond's price will decline by approximately 5%. Conversely, if a bond has a duration of 5 years and interest rates fall by 1%, the bond's price will increase by approximately 5%. A fixed income portfolio's duration is computed as the weighted average of individual bond durations held in the portfolio.
  • Compound annualized growth rate (CAGR) is the annualized geometric mean return of the portfolio. It is calculated from the portfolio start and end balance and is thus impacted by any cashflows.
  • The time-weighted rate of return (TWRR) is a measure of the compound rate of growth in a portfolio. This is calculated from the holding period returns (e.g. monthly returns), and TWRR will thus not be impacted by cashflows. If there are no external cashflows, TWRR will equal CAGR.
  • The money-weighted rate of return (MWRR) is the internal rate of return (IRR) taking into account cashflows. This is the discount rate at which the present value of cash inflows equals the present value of cash outflows.
  • Total return is the combined return in income and capital appreciation from investment in an asset. Yield measures the current cash income received from investment in an asset. Bonds provide yield in the form of interest payments and stocks through dividends.
  • Standard deviation (Stdev) is used to measure the dispersion of returns around the mean and is often used as a measure of risk. A higher standard deviation implies greater the dispersion of data points around the mean.
  • Sharpe Ratio is a measure of risk-adjusted performance of the portfolio, and it is calculated by dividing the mean monthly excess return of the portfolio over the risk-free rate by the standard deviation of excess return, and the displayed value is annualized.
  • Sortino Ratio is a measure of risk-adjusted return which is a modification of the Sharpe Ratio. While the latter is the ratio of average returns in excess of a risk-free rate divided by the standard deviation of those excess returns, the Sortino Ratio has the same denominator divided by the standard deviation of returns below the risk-free rate.
  • Treynor Ratio is a measure of risk-adjusted performance of the portfolio. It is similar to the Sharpe Ratio, but it uses portfolio beta (systematic risk) as the risk metric in the denominator.
  • Calmar Ratio is a measure of risk-adjusted performance of the portfolio. It is calculated as the annualized return over the past 36 months divided by the maximum drawdown over the past 36 months based on monthly returns.
  • Risk-free returns are calculated based on the Federal Reserve 3-Month Treasury Bill (secondary market) rates.
  • Downside deviation measures the downside volatility of the portfolio returns unlike standard deviation, which includes both upside and downside deviations. Downside deviation is calculated based on negative returns that hurt the portfolio performance.
  • Correlation measures to what degree the returns of the two assets move in relation to each other. Correlation coefficient is a numerical value between -1 and +1. If one variable goes up by a certain amount, the correlation coefficient indicates which way the other variable moves and by how much. Asset correlations are calculated based on monthly returns.
  • Skewness is a measure of the asymmetry of the probability distribution or returns from a normal Gaussian distribution shape about its mean. Negative skewness is associated with the left (typically negative returns) tail of the distribution extending further than the right tail; and positive skewness is associated with the right (typically positive returns) tail of the distribution extending further than the left tail.
  • Excess kurtosis is a measure of whether a data distribution is peaked or flat relative to a normal distribution. Distributions with high kurtosis tend to have a distinct peak near the mean, decline rather rapidly, and have heavy or fat tails.
  • A drawdown refers to the decline in value of a single investment or an investment portfolio from a relative peak value to a relative trough. A maximum drawdown (Max Drawdown) is the maximum observed loss from a peak to a trough of a portfolio before a new peak is attained. Drawdown values are calculated based on monthly returns.
  • Value at Risk (VaR) measures the scale of loss at a given confidence level. For example, if the 95% confidence one-month VaR is 3%, there is 95% confidence that over the next month the portfolio will not lose more than 3%. Value at Risk can be calculated directly based on historical returns based on a given percentile or analytically based on the mean and standard deviation of the returns.
  • Conditional Value at Risk (CVaR) measures the scale of the expected loss once the specific Value at Risk (VaR) breakpoint has been breached, i.e., it calculates the average tail loss by taking a weighted average between the value at risk and losses exceeding the value at risk.
  • Beta is a measure of systematic risk and measures the volatility of a particular investment relative to the market or its benchmark. Alpha measures the active return of the investment compared to the market benchmark return. R-squared is the percentage of a portfolio's movements that can be explained by movements in the selected benchmark index.
  • Active return is the investment return minus the return of its benchmark. For periods longer than 12 months this is displayed as annualized value, i.e., annualized investment return minus annualized benchmark return.
  • Tracking error, also known as active risk, is the standard deviation of active return. This is displayed as annualized value based on the standard deviation of monthly active returns.
  • Information ratio is the active return divided by the tracking error. It measures whether the investment outperformed its benchmark consistently.
  • Gain/Loss ratio is a measure of downside risk, and it is calculated as the average positive return in up periods divided by the average negative return in down periods.
  • Upside Capture Ratio measures how well the fund performed relative to the benchmark when the market was up, and Downside Capture Ratio measures how well the fund performed relative to the benchmark when the market was down. An upside capture ratio greater than 100 would indicate that the fund outperformed its benchmark when the market was up, and a downside capture ratio below 100 would indicate that the fund lost less than its benchmark when the market was down. To calculate upside capture ratio a new series from the portfolio returns is constructed by dropping all time periods where the benchmark return is less than equal to zero. The up capture is then the quotient of the annualized return of the resulting manager series, divided by the annualized return of the resulting benchmark series. The downside capture ratio is calculated analogously.
  • All risk measures for the portfolio and portfolio assets are calculated based on monthly returns.
  • Gross expense ratio reflects the total annual operating expenses paid by each fund. Net expense ratio reflects what investors were charged after waivers, reductions, and reimbursements.
  • Price to earnings (P/E) ratio of a stock is calculated by dividing the current price of the stock by its trailing 12 months' earnings per share. For funds the price to earnings ratio is computed as the weighted average of fund holdings.
  • The annual results for 2009 are based on monthly returns from October to December.
  • The results assume annual rebalancing of portfolio assets to match the specified allocation.
  • Portfolio cashflows and rebalancing for quarterly and annual periods are aligned with calendar periods.

Annual Returns

Annual returns for the configured portfolios
YearInflationGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPSSPDR S&P 500 ETF Trust (SPY)Vanguard Small-Cap Value ETF (VBR)iShares 20+ Year Treasury Bond ETF (TLT)SPDR Gold Shares (GLD)iShares TIPS Bond ETF (TIP)PIMCO 1-5 Year US TIPS Index ETF (STPZ)PIMCO 15+ Year US TIPS ETF (LTPZ)
ReturnBalanceReturnBalanceReturnBalance
2009-0.01%2.55%$10,2552.63%$10,2632.34%$10,2346.11%3.98%-7.69%8.56%1.80%2.18%0.77%
20101.50%16.92%$11,99016.40%$11,94517.43%$12,01815.06%25.10%9.05%29.27%6.14%3.51%8.67%
20112.96%10.89%$13,2979.17%$13,04113.26%$13,6121.89%-4.23%33.96%9.57%13.28%4.65%25.10%
20121.74%10.12%$14,6429.29%$14,25311.16%$15,13115.99%18.98%2.63%6.60%6.39%2.28%11.60%
20131.50%3.73%$15,1885.02%$14,9681.59%$15,37132.31%36.55%-13.37%-28.33%-8.49%-2.05%-19.21%
20140.76%10.54%$16,7909.55%$16,39713.76%$17,48613.46%10.55%27.30%-2.19%3.59%-1.39%19.68%
20150.73%-3.54%$16,195-3.25%$15,864-4.96%$16,6191.25%-4.76%-1.79%-10.67%-1.75%-0.29%-8.83%
20162.07%10.16%$17,8409.80%$17,41911.06%$18,45712.00%24.90%1.18%8.03%4.68%2.89%9.16%
20172.11%11.68%$19,92411.20%$19,36912.91%$20,84021.70%11.80%9.18%12.81%2.92%0.51%9.06%
20181.91%-4.36%$19,056-4.03%$18,589-5.38%$19,719-4.56%-12.26%-1.61%-1.94%-1.42%0.20%-6.53%
20192.29%18.86%$22,65118.16%$21,96420.69%$23,79831.22%22.77%14.12%17.86%8.35%4.83%17.47%
20201.36%15.61%$26,18614.53%$25,15518.42%$28,18118.37%5.87%18.15%24.81%10.84%5.44%24.87%
20217.04%10.74%$29,00010.74%$27,85610.92%$31,25928.74%28.06%-4.60%-4.15%5.67%5.64%6.56%
20226.45%-14.36%$24,836-12.80%$24,290-18.32%$25,532-18.17%-9.36%-31.24%-0.77%-12.24%-4.47%-32.05%
Annual return for 2009 is from 10/01/2009 to 12/31/2009

Monthly Returns

Monthly returns for the configured portfolios
YearMonthGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPSSPDR S&P 500 ETF Trust (SPY)Vanguard Small-Cap Value ETF (VBR)iShares 20+ Year Treasury Bond ETF (TLT)SPDR Gold Shares (GLD)iShares TIPS Bond ETF (TIP)PIMCO 1-5 Year US TIPS Index ETF (STPZ)PIMCO 15+ Year US TIPS ETF (LTPZ)
ReturnBalanceReturnBalanceReturnBalance
200910-1.15%$9,885-1.12%$9,888-1.18%$9,882-1.92%-6.09%-2.62%3.72%1.14%1.33%1.01%
2009115.39%$10,4185.11%$10,3945.69%$10,4446.16%3.55%1.21%12.79%2.80%1.43%4.24%
200912-1.56%$10,255-1.26%$10,263-2.01%$10,2341.91%6.92%-6.34%-7.20%-2.09%-0.58%-4.29%
20101-0.73%$10,180-0.86%$10,174-0.61%$10,172-3.63%-2.99%2.69%-1.26%1.53%0.89%2.13%
201021.90%$10,3732.14%$10,3921.56%$10,3303.12%5.01%-0.34%3.27%-1.30%-0.15%-2.95%
201032.34%$10,6162.33%$10,6342.39%$10,5776.09%8.20%-2.06%-0.44%-0.01%-0.04%0.20%
201043.93%$11,0333.59%$11,0164.38%$11,0401.55%6.23%3.32%5.88%2.52%0.77%4.85%
20105-1.68%$10,848-1.81%$10,817-1.51%$10,873-7.95%-7.95%5.11%3.05%0.19%-0.45%1.04%
20106-0.69%$10,772-0.81%$10,729-0.52%$10,816-5.17%-8.16%5.80%2.36%1.28%0.70%2.09%
201071.27%$10,9091.38%$10,8771.07%$10,9326.83%7.46%-0.95%-5.09%-0.24%0.30%-1.14%
201081.16%$11,0350.78%$10,9621.73%$11,121-4.50%-6.66%8.40%5.71%1.94%-0.02%4.79%
201094.10%$11,4884.11%$11,4123.97%$11,5638.96%10.43%-2.51%4.78%0.79%0.71%0.33%
2010101.71%$11,6841.43%$11,5752.14%$11,8113.82%3.60%-4.47%3.68%2.47%1.01%4.64%
2010110.25%$11,7120.46%$11,629-0.21%$11,7850.00%2.28%-1.69%2.11%-1.69%-0.62%-3.83%
2010122.37%$11,9902.72%$11,9451.98%$12,0186.68%7.69%-3.68%2.44%-1.38%0.36%-3.27%
20111-1.30%$11,834-1.12%$11,812-1.83%$11,7982.33%0.60%-3.08%-6.38%0.02%0.94%-2.61%
201123.29%$12,2233.24%$12,1943.61%$12,2243.47%4.70%1.65%6.00%0.72%0.49%2.29%
201130.86%$12,3280.76%$12,2870.91%$12,3360.01%1.47%0.03%1.60%1.19%0.71%1.45%
201143.76%$12,7913.60%$12,7304.01%$12,8302.90%2.34%2.34%8.94%2.38%1.62%3.67%
20115-0.33%$12,748-0.40%$12,679-0.33%$12,788-1.12%-2.12%3.42%-1.79%0.27%-0.07%0.26%
20116-1.56%$12,549-1.70%$12,463-1.47%$12,600-1.69%-2.08%-2.33%-2.43%0.75%0.07%1.23%
201172.27%$12,8331.76%$12,6832.98%$12,976-2.00%-3.32%4.42%8.42%3.90%1.40%7.41%
201182.05%$13,0971.79%$12,9102.60%$13,313-5.50%-8.19%9.66%12.27%0.64%-0.76%3.28%
20119-2.84%$12,725-3.02%$12,520-2.48%$12,983-6.94%-10.64%13.20%-11.06%-0.01%-0.80%1.49%
2011104.87%$13,3454.81%$13,1225.07%$13,64110.91%14.43%-3.84%5.87%2.07%1.58%3.19%
2011110.82%$13,4550.68%$13,2120.89%$13,762-0.41%-0.14%1.98%1.67%0.52%-0.22%0.85%
201112-1.18%$13,297-1.30%$13,041-1.10%$13,6121.04%0.82%3.44%-10.66%0.16%-0.35%0.42%
201214.99%$13,9604.79%$13,6655.22%$14,3234.64%6.97%-0.33%11.40%2.29%1.27%3.45%
201220.15%$13,9810.31%$13,7080.02%$14,3254.34%2.55%-2.59%-2.96%-0.58%0.26%-1.26%
20123-0.05%$13,9750.08%$13,718-0.44%$14,2623.22%2.41%-4.23%-1.32%-0.86%-0.22%-2.88%
201240.81%$14,0880.53%$13,7911.25%$14,440-0.67%-0.99%4.83%-0.15%1.78%0.30%4.11%
20125-1.83%$13,830-2.31%$13,472-1.19%$14,268-6.01%-6.31%9.03%-6.34%1.95%-0.52%5.23%
201261.69%$14,0641.78%$13,7121.57%$14,4924.05%4.47%-1.68%2.35%-0.67%-0.28%-1.17%
201271.42%$14,2631.22%$13,8791.93%$14,7721.18%-0.43%3.82%0.84%1.75%0.73%4.28%
201281.75%$14,5131.88%$14,1401.47%$14,9892.51%2.99%-1.32%4.94%-0.25%0.32%-1.52%
201291.63%$14,7491.54%$14,3581.55%$15,2202.54%2.80%-2.53%4.67%0.51%0.02%0.15%
201210-1.10%$14,588-1.22%$14,183-0.80%$15,099-1.82%-0.70%-0.48%-2.94%0.62%0.04%2.08%
2012110.60%$14,6760.58%$14,2650.62%$15,1920.57%1.01%1.38%-0.47%0.56%0.45%0.62%
201212-0.23%$14,642-0.09%$14,253-0.40%$15,1310.90%3.34%-2.49%-2.43%-0.82%-0.09%-1.65%
201311.47%$14,8571.62%$14,4831.17%$15,3085.12%6.46%-3.19%-0.51%-0.52%0.20%-2.01%
20132-0.12%$14,840-0.16%$14,460-0.16%$15,2831.28%1.62%1.24%-5.09%0.19%0.00%-0.03%
201331.91%$15,1231.90%$14,7351.78%$15,5553.80%4.56%-0.42%0.95%0.21%0.18%-0.50%
201340.07%$15,134-0.19%$14,7070.54%$15,6391.92%0.09%4.68%-7.56%0.79%-0.57%3.28%
20135-2.01%$14,829-1.43%$14,496-2.99%$15,1712.36%3.11%-6.76%-6.20%-4.19%-1.20%-9.22%
20136-3.74%$14,274-3.24%$14,026-4.27%$14,523-1.34%-1.27%-3.27%-11.06%-3.80%-1.22%-6.70%
201373.69%$14,8013.66%$14,5393.58%$15,0445.17%6.85%-2.26%7.43%0.90%0.87%0.07%
20138-1.49%$14,580-1.27%$14,355-1.62%$14,800-3.00%-4.17%-1.34%5.20%-1.83%-0.66%-2.61%
201391.64%$14,8191.41%$14,5581.68%$15,0493.17%5.30%0.66%-4.78%1.76%0.59%2.01%
2013102.32%$15,1632.28%$14,8902.41%$15,4124.63%3.92%1.43%-0.34%0.34%0.23%0.68%
201311-0.06%$15,1540.11%$14,907-0.41%$15,3482.96%2.93%-2.70%-5.51%-1.06%-0.11%-3.29%
2013120.22%$15,1880.41%$14,9680.15%$15,3712.59%2.74%-1.87%-3.79%-1.45%-0.36%-2.12%
201411.10%$15,3560.76%$15,0821.79%$15,646-3.52%-2.78%6.30%3.42%2.10%0.38%5.53%
201423.30%$15,8633.27%$15,5753.21%$16,1484.55%4.97%0.52%6.27%0.44%0.21%0.08%
20143-0.20%$15,832-0.19%$15,5440.03%$16,1520.83%1.31%0.73%-3.14%-0.53%-0.51%0.60%
201440.70%$15,9430.56%$15,6311.03%$16,3180.70%-1.13%2.10%0.49%1.32%0.57%2.90%
201451.16%$16,1280.92%$15,7751.72%$16,5992.32%1.64%2.95%-3.05%2.00%0.79%4.66%
201462.51%$16,5332.51%$16,1722.51%$17,0162.06%4.32%-0.25%6.32%0.37%0.32%0.55%
20147-1.83%$16,230-1.89%$15,867-1.54%$16,754-1.34%-4.79%0.67%-3.63%-0.09%-0.31%1.20%
201482.97%$16,7112.85%$16,3183.41%$17,3263.95%5.12%4.72%0.38%0.61%-0.13%2.90%
20149-3.52%$16,123-3.26%$15,786-4.18%$16,602-1.38%-5.54%-2.11%-6.18%-2.59%-1.15%-5.78%
2014101.63%$16,3861.49%$16,0202.01%$16,9352.36%4.85%2.81%-3.05%0.90%0.10%2.74%
2014111.38%$16,6131.32%$16,2321.60%$17,2062.75%1.10%2.97%-0.49%0.16%-0.23%1.30%
2014121.07%$16,7901.02%$16,3971.63%$17,486-0.26%1.79%3.25%1.31%-1.05%-1.41%1.86%
201513.09%$17,3102.68%$16,8373.86%$18,162-2.96%-3.30%9.82%8.69%3.23%1.16%7.07%
20152-0.69%$17,190-0.51%$16,751-1.30%$17,9265.62%5.66%-6.14%-5.91%-1.29%-0.36%-4.21%
20153-0.36%$17,128-0.36%$16,692-0.44%$17,848-1.57%1.30%1.10%-2.15%-0.48%-0.46%-0.86%
20154-0.67%$17,014-0.64%$16,585-0.87%$17,6930.98%-1.30%-3.43%-0.17%0.68%0.83%-0.34%
20155-0.03%$17,0090.14%$16,608-0.67%$17,5751.29%1.37%-2.37%0.56%-1.01%-0.17%-4.20%
20156-2.02%$16,666-1.82%$16,306-2.47%$17,141-2.03%-1.51%-4.07%-1.52%-1.02%-0.04%-3.34%
20157-0.08%$16,652-0.25%$16,2650.27%$17,1872.26%-0.95%4.55%-6.62%0.54%-0.31%2.41%
20158-1.90%$16,336-1.78%$15,975-2.12%$16,822-6.10%-4.84%-0.69%3.71%-0.95%-0.38%-2.05%
20159-1.28%$16,127-1.19%$15,785-1.81%$16,517-2.54%-3.58%1.97%-1.80%-0.52%-0.08%-3.19%
2015103.38%$16,6723.31%$16,3073.78%$17,1428.51%6.63%-0.41%2.28%0.30%-0.02%2.12%
201511-1.17%$16,476-1.20%$16,112-1.17%$16,9410.37%1.32%-0.87%-6.75%-0.14%-0.27%-0.06%
201512-1.71%$16,195-1.54%$15,864-1.90%$16,619-1.72%-4.90%-0.30%-0.45%-1.01%-0.18%-1.96%
201610.24%$16,2340.05%$15,8720.45%$16,694-4.98%-6.37%5.57%5.41%1.57%0.62%2.60%
201623.46%$16,7963.27%$16,3913.79%$17,327-0.08%1.50%3.09%10.93%1.22%0.25%2.87%
201632.99%$17,2982.89%$16,8643.43%$17,9216.72%8.94%-0.09%-0.84%1.67%1.10%3.88%
201641.48%$17,5551.45%$17,1091.47%$18,1850.39%2.10%-0.74%5.11%0.21%0.02%0.21%
20165-0.75%$17,423-0.67%$16,994-0.90%$18,0211.70%1.40%0.81%-6.14%-0.64%-0.23%-1.39%
201663.84%$18,0923.64%$17,6124.46%$18,8250.35%0.15%6.93%8.97%2.25%1.15%5.41%
201672.57%$18,5572.44%$18,0423.12%$19,4123.65%4.64%2.10%1.98%0.64%-0.15%3.47%
20168-0.83%$18,403-0.85%$17,889-0.73%$19,2700.12%0.73%-1.01%-3.26%-0.34%-0.40%0.10%
201690.04%$18,4100.05%$17,898-0.11%$19,2470.01%0.30%-1.51%0.69%0.75%0.84%-0.07%
201610-2.55%$17,941-2.47%$17,456-2.86%$18,698-1.73%-2.92%-4.38%-2.94%-0.54%-0.04%-2.23%
201611-1.12%$17,740-0.84%$17,310-1.60%$18,3983.68%10.21%-8.21%-8.36%-2.07%-0.59%-4.35%
2016120.56%$17,8400.63%$17,4190.32%$18,4572.03%2.86%-0.46%-1.91%-0.04%0.29%-1.24%
201711.91%$18,1811.84%$17,7391.98%$18,8231.79%0.65%0.81%5.42%0.89%0.51%1.25%
201722.24%$18,5882.16%$18,1222.48%$19,2893.93%2.01%1.59%3.18%0.41%0.02%1.63%
20173-0.33%$18,526-0.30%$18,067-0.46%$19,2010.13%-0.72%-0.65%-0.43%0.00%0.15%-0.63%
201741.04%$18,7180.93%$18,2341.16%$19,4230.99%0.40%1.57%1.73%0.45%-0.11%1.07%
201750.16%$18,7480.17%$18,2650.17%$19,4551.41%-2.40%1.89%-0.12%-0.04%0.02%0.00%
201760.13%$18,7730.19%$18,3010.00%$19,4560.64%2.44%0.79%-2.16%-0.87%-0.57%-1.53%
201771.05%$18,9711.03%$18,4890.98%$19,6472.06%1.02%-0.66%2.31%0.46%0.33%0.09%
201781.52%$19,2591.38%$18,7441.87%$20,0130.29%-1.46%3.41%4.20%1.04%0.30%2.84%
201790.03%$19,2660.12%$18,768-0.08%$19,9962.01%4.95%-2.32%-3.37%-0.70%-0.23%-1.29%
2017100.55%$19,3720.54%$18,8700.61%$20,1192.36%0.86%-0.04%-0.75%0.24%0.19%0.57%
2017111.52%$19,6661.45%$19,1441.77%$20,4753.06%3.17%0.74%0.36%0.09%-0.29%1.43%
2017121.31%$19,9241.18%$19,3691.78%$20,8401.21%0.50%1.81%2.11%0.93%0.19%3.40%
201811.34%$20,1911.45%$19,6501.23%$21,0965.64%1.93%-3.26%3.23%-0.85%-0.31%-1.40%
20182-2.92%$19,602-2.75%$19,110-3.46%$20,365-3.64%-4.74%-3.04%-2.08%-1.03%-0.19%-3.82%
201830.47%$19,6940.39%$19,1830.71%$20,509-2.74%0.82%2.86%0.63%1.01%0.58%2.24%
20184-0.45%$19,606-0.44%$19,098-0.37%$20,4340.52%0.40%-2.09%-0.95%-0.13%-0.12%0.28%
201851.60%$19,9201.60%$19,4031.51%$20,7422.43%4.52%2.01%-1.20%0.33%0.33%-0.16%
20186-0.28%$19,865-0.36%$19,334-0.05%$20,7320.58%0.36%0.65%-3.61%0.65%0.23%1.84%
201870.46%$19,9560.52%$19,4350.35%$20,8043.70%2.49%-1.44%-2.24%-0.53%-0.21%-1.10%
201881.17%$20,1891.13%$19,6551.17%$21,0473.19%2.41%1.31%-2.14%0.65%0.49%0.65%
20189-1.09%$19,969-0.94%$19,469-1.46%$20,7400.59%-1.67%-2.86%-0.66%-0.97%-0.25%-2.89%
201810-3.91%$19,189-3.70%$18,749-4.65%$19,776-6.91%-9.05%-2.93%2.12%-1.52%-0.51%-5.28%
2018111.37%$19,4521.26%$18,9871.52%$20,0771.85%2.35%1.79%0.34%0.48%-0.01%1.21%
201812-2.03%$19,056-2.10%$18,589-1.78%$19,719-8.79%-11.41%5.85%4.94%0.53%0.18%2.03%
201914.77%$19,9654.66%$19,4555.01%$20,7078.01%11.16%0.38%2.89%1.42%0.87%2.61%
201921.10%$20,1851.15%$19,6780.94%$20,9023.24%3.99%-1.38%-0.61%-0.17%0.08%-0.95%
201931.07%$20,4010.84%$19,8441.65%$21,2481.81%-1.92%5.57%-1.60%1.98%0.76%5.00%
201941.22%$20,6511.27%$20,0961.10%$21,4824.09%3.91%-1.99%-0.66%0.22%0.46%-0.36%
20195-1.21%$20,402-1.42%$19,810-0.55%$21,364-6.38%-8.13%6.84%1.76%1.75%0.65%5.05%
201964.68%$21,3574.68%$20,7374.45%$22,3146.96%6.84%0.95%8.00%0.75%0.63%-0.17%
201970.59%$21,4830.53%$20,8460.81%$22,4951.51%0.75%0.26%0.01%0.32%-0.02%1.46%
201982.67%$22,0572.35%$21,3373.88%$23,366-1.67%-5.44%11.04%7.91%2.33%0.59%8.42%
20199-0.32%$21,986-0.16%$21,302-0.79%$23,1811.95%3.98%-2.68%-3.39%-1.11%-0.29%-3.31%
2019101.08%$22,2241.12%$21,5420.86%$23,3802.21%1.75%-1.11%2.56%-0.03%0.17%-1.04%
2019110.58%$22,3540.55%$21,6600.81%$23,5693.62%2.48%-0.41%-3.21%0.29%0.10%1.45%
2019121.33%$22,6511.40%$21,9640.97%$23,7982.90%2.78%-3.20%3.66%0.35%0.73%-1.34%
202012.18%$23,1451.88%$22,3773.17%$24,553-0.04%-3.37%7.69%4.50%2.14%0.61%7.08%
20202-2.02%$22,677-2.13%$21,901-1.60%$24,160-7.92%-10.18%6.63%-0.64%0.92%0.44%2.81%
20203-5.59%$21,410-5.71%$20,650-5.55%$22,819-12.46%-25.08%6.38%-0.22%-1.76%-2.29%-1.83%
202046.52%$22,8076.27%$21,9467.40%$24,50712.70%13.11%1.22%7.26%3.03%1.75%7.12%
202051.83%$23,2251.90%$22,3621.52%$24,8794.76%4.80%-1.76%2.59%0.65%0.92%-0.63%
202061.53%$23,5801.49%$22,6951.55%$25,2651.78%2.05%0.34%2.74%0.99%0.78%1.13%
202075.53%$24,8855.26%$23,8886.42%$26,8885.89%3.29%4.44%10.79%2.33%0.81%6.67%
202080.92%$25,1130.97%$24,1200.50%$27,0236.98%4.63%-5.05%-0.32%0.89%1.16%-0.99%
20209-2.19%$24,564-2.17%$23,596-2.13%$26,449-3.74%-3.71%0.77%-4.17%-0.38%-0.20%-0.29%
202010-1.03%$24,311-0.94%$23,374-1.34%$26,094-2.49%3.14%-3.39%-0.52%-0.68%-0.21%-2.13%
2020114.19%$25,3314.10%$24,3324.58%$27,28910.88%17.42%1.66%-5.41%1.21%0.60%3.26%
2020123.38%$26,1863.38%$25,1553.27%$28,1813.71%6.80%-1.23%7.01%1.10%1.01%0.84%
20211-1.11%$25,894-1.03%$24,896-1.36%$27,796-1.02%2.04%-3.63%-3.22%0.27%0.68%-0.98%
20212-0.31%$25,8130.02%$24,901-1.23%$27,4552.78%8.79%-5.73%-6.26%-1.69%-0.04%-6.26%
202130.90%$26,0471.07%$25,1670.62%$27,6254.54%5.31%-5.24%-1.14%-0.26%0.57%-1.84%
202143.43%$26,9403.31%$26,0023.55%$28,6065.29%4.01%2.49%3.56%1.43%0.91%1.92%
202152.26%$27,5482.19%$26,5712.55%$29,3360.66%2.24%0.00%7.68%1.02%0.71%2.54%
20216-0.24%$27,483-0.38%$26,4700.27%$29,4172.25%-1.02%4.42%-7.15%0.72%-0.02%3.58%
202171.77%$27,9681.53%$26,8762.08%$30,0292.44%-1.65%3.72%2.53%2.68%1.46%4.36%
202181.02%$28,2551.06%$27,1591.03%$30,3372.98%2.08%-0.34%-0.08%-0.16%0.00%-0.17%
20219-2.87%$27,445-2.72%$26,419-3.11%$29,394-4.66%-2.55%-2.91%-3.22%-0.78%-0.05%-2.02%
2021103.51%$28,4093.41%$27,3213.76%$30,5007.02%4.56%2.46%1.48%1.11%0.64%2.36%
202111-0.35%$28,308-0.51%$27,1810.30%$30,593-0.80%-3.02%2.77%-0.69%0.87%0.04%4.33%
2021122.44%$29,0002.48%$27,8562.18%$31,2594.63%4.90%-2.01%3.30%0.40%0.61%-0.90%
20221-3.47%$27,994-3.25%$26,951-4.29%$29,919-5.27%-4.41%-3.91%-1.68%-2.06%-0.98%-6.15%
202220.84%$28,2290.90%$27,1930.77%$30,150-2.95%1.63%-1.63%6.12%0.86%1.16%0.52%
20223-0.13%$28,1920.04%$27,205-0.45%$30,0143.76%1.63%-5.45%1.27%-1.88%-1.00%-3.60%
20224-5.63%$26,606-5.20%$25,790-6.70%$28,002-8.78%-6.34%-9.42%-2.07%-2.18%-0.16%-7.63%
20225-0.92%$26,362-0.63%$25,627-1.83%$27,4890.23%1.86%-2.25%-3.26%-0.98%0.36%-5.86%
20226-4.93%$25,062-4.65%$24,437-5.64%$25,940-8.25%-10.32%-1.27%-1.57%-3.11%-1.89%-6.70%
202274.38%$26,1603.90%$25,3895.05%$27,2499.21%9.83%2.43%-2.59%4.30%2.13%8.02%
20228-3.36%$25,281-3.12%$24,596-3.65%$26,253-4.08%-2.75%-4.56%-2.94%-2.70%-1.65%-4.19%
20229-7.31%$23,432-6.61%$22,972-8.82%$23,937-9.24%-9.91%-8.23%-2.89%-6.72%-3.57%-14.90%
2022102.81%$24,0912.71%$23,5953.01%$24,6598.13%12.00%-5.97%-1.78%1.42%1.11%2.16%
2022115.66%$25,4545.26%$24,8376.50%$26,2625.56%5.56%7.15%8.49%1.83%0.42%5.65%
202212-2.43%$24,836-2.20%$24,290-2.78%$25,532-5.76%-5.67%-2.63%2.93%-1.32%-0.36%-3.12%

Returns Based Style Analysis

Returns Based Style Analysis
Style CategoryGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPS
Large-cap Value5.94%7.14%2.04%
Large-cap Growth8.40%7.55%11.27%
Mid-cap Value17.45%16.55%19.20%
Mid-cap Growth6.83%7.02%6.94%
Small-cap Value0.00%0.00%0.00%
Small-cap Growth0.00%0.00%0.00%
Global ex-US Developed Markets0.00%0.00%0.00%
Emerging Markets8.62%8.13%10.16%
Corporate Bonds0.00%0.00%0.00%
Long-Term Treasuries17.21%14.55%32.47%
Intermediate-Term Treasuries35.54%31.87%17.92%
Short-Term Treasuries0.00%7.20%0.00%
R Squared86.96%86.65%86.76%
Style analysis is based on monthly returns from October 2009 to December 2022 and uses total portfolio return with monthly rebalancing. Returns based style analysis aims to explain the portfolio returns based on asset class exposures, it does not identify the actual portfolio holdings.

Holdings Based Style Analysis for GBFly with Broad TIPS

Holdings Based Style Analysis for GBFly with Broad TIPS
TickerNameCategoryWeightYieldExpense RatioP/EDurationContribution
SECTTMNetGrossReturnRisk
SPYSPDR S&P 500 ETF TrustLarge Blend20.00%1.40%1.45%0.09%0.09%22.40$5,75427.25%
VBRVanguard Small-Cap Value ETFSmall Value20.00%2.22%2.18%0.07%0.07%11.42$5,02831.59%
TLTiShares 20+ Year Treasury Bond ETFLong Government20.00%4.22%3.22%0.15%0.15%17.10$9038.70%
GLDSPDR Gold SharesCommodities Focused20.00%0.40%0.40%$2,10423.66%
TIPiShares TIPS Bond ETFInflation-Protected Bond20.00%6.24%3.45%0.19%0.19%6.67$1,0478.80%
100.00%2.82%2.06%0.18%0.18%16.9111.88$14,836100.00%
Asset Allocation
Equity Market Capitalization
Equity Sectors
Fixed Income Credit Quality
Fixed Income Maturity

Holdings Based Style Analysis for GBFly with Short TIPS

Holdings Based Style Analysis for GBFly with Short TIPS
TickerNameCategoryWeightYieldExpense RatioP/EDurationContribution
SECTTMNetGrossReturnRisk
SPYSPDR S&P 500 ETF TrustLarge Blend20.00%1.40%1.45%0.09%0.09%22.40$5,62029.42%
VBRVanguard Small-Cap Value ETFSmall Value20.00%2.22%2.18%0.07%0.07%11.42$4,91134.53%
TLTiShares 20+ Year Treasury Bond ETFLong Government20.00%4.22%3.22%0.15%0.15%17.10$9347.18%
GLDSPDR Gold SharesCommodities Focused20.00%0.40%0.40%$2,07824.42%
STPZPIMCO 1-5 Year US TIPS Index ETFInflation-Protected Bond20.00%6.33%2.32%0.20%0.20%2.84$7464.45%
100.00%2.83%1.83%0.18%0.18%16.919.97$14,290100.00%
Asset Allocation
Equity Market Capitalization
Equity Sectors
Fixed Income Credit Quality
Fixed Income Maturity

Holdings Based Style Analysis for GBFly with Long TIPS

Holdings Based Style Analysis for GBFly with Long TIPS
TickerNameCategoryWeightYieldExpense RatioP/EDurationContribution
SECTTMNetGrossReturnRisk
SPYSPDR S&P 500 ETF TrustLarge Blend20.00%1.40%1.45%0.09%0.09%22.40$5,94622.74%
VBRVanguard Small-Cap Value ETFSmall Value20.00%2.22%2.18%0.07%0.07%11.42$5,19825.63%
TLTiShares 20+ Year Treasury Bond ETFLong Government20.00%4.22%3.22%0.15%0.15%17.10$81110.82%
GLDSPDR Gold SharesCommodities Focused20.00%0.40%0.40%$2,14421.22%
LTPZPIMCO 15+ Year US TIPS ETFInflation-Protected Bond20.00%6.47%4.67%0.20%0.20%19.47$1,43319.59%
100.00%2.86%2.30%0.18%0.18%16.9118.29$15,532100.00%
Asset Allocation
Equity Market Capitalization
Equity Sectors
Fixed Income Credit Quality
Fixed Income Maturity

Fund fundamentals data as of 09/27/2023. (c) 2023 Morningstar. All Rights Reserved. The fund fundamentals information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

Risk and Return Metrics

Portfolio return and risk metrics
MetricGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPS
Arithmetic Mean (monthly)0.60%0.58%0.62%
Arithmetic Mean (annualized)7.45%7.24%7.76%
Geometric Mean (monthly)0.57%0.56%0.59%
Geometric Mean (annualized)7.11%6.93%7.33%
Standard Deviation (monthly)2.33%2.22%2.59%
Standard Deviation (annualized)8.05%7.70%8.96%
Downside Deviation (monthly)1.39%1.32%1.58%
Maximum Drawdown-19.20%-17.54%-23.42%
Stock Market Correlation0.760.790.71
Beta(*)0.400.400.41
Alpha (annualized)2.16%2.02%2.29%
R257.85%62.02%49.71%
Sharpe Ratio0.820.830.77
Sortino Ratio1.341.371.23
Treynor Ratio (%)16.4716.1416.67
Calmar Ratio0.160.190.10
Active Return-4.92%-5.10%-4.69%
Tracking Error10.53%10.35%10.97%
Information Ratio-0.47-0.49-0.43
Skewness-0.27-0.24-0.34
Excess Kurtosis0.670.550.97
Historical Value-at-Risk (5%)3.37%3.13%3.71%
Analytical Value-at-Risk (5%)3.30%3.16%3.72%
Conditional Value-at-Risk (5%)4.76%4.45%5.51%
Upside Capture Ratio (%)40.6440.1841.40
Downside Capture Ratio (%)33.4633.7333.44
Safe Withdrawal Rate10.92%10.69%11.24%
Perpetual Withdrawal Rate4.14%3.99%4.33%
Positive Periods97 out of 159 (61.01%)101 out of 159 (63.52%)98 out of 159 (61.64%)
Gain/Loss Ratio1.241.131.16
* US stock market is used as the benchmark for calculations. Value-at-risk metrics are monthly values.

Drawdowns

Historical Market Stress Periods

Drawdowns for Historical Market Stress Periods
Stress PeriodStartEndGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPS
COVID-19 StartJan 2020Mar 2020-7.50%-7.72%-7.06%

Drawdowns for GBFly with Broad TIPS

Drawdowns for GBFly with Broad TIPS (worst 10)
RankStartEndLengthRecovery ByRecovery TimeUnderwater PeriodDrawdown
1Jan 2022Sep 20229 months-19.20%
2Feb 2020Mar 20202 monthsMay 20202 months4 months-7.50%
3Feb 2015Sep 20158 monthsApr 20167 months1 year 3 months-6.83%
4May 2013Jun 20132 monthsOct 20134 months6 months-5.68%
5Feb 2018Dec 201811 monthsMar 20193 months1 year 2 months-5.62%
6Aug 2016Nov 20164 monthsFeb 20173 months7 months-4.40%
7Sep 2014Sep 20141 monthDec 20143 months4 months-3.52%
8Sep 2020Oct 20202 monthsNov 20201 month3 months-3.19%
9Sep 2021Sep 20211 monthOct 20211 month2 months-2.87%
10Sep 2011Sep 20111 monthOct 20111 month2 months-2.84%
Worst 10 drawdowns included above

Drawdowns for GBFly with Short TIPS

Drawdowns for GBFly with Short TIPS (worst 10)
RankStartEndLengthRecovery ByRecovery TimeUnderwater PeriodDrawdown
1Jan 2022Sep 20229 months-17.54%
2Feb 2020Mar 20202 monthsJun 20203 months5 months-7.72%
3Feb 2015Sep 20158 monthsMar 20166 months1 year 2 months-6.25%
4Sep 2018Dec 20184 monthsFeb 20192 months6 months-5.43%
5Apr 2013Jun 20133 monthsOct 20134 months7 months-4.81%
6Aug 2016Nov 20164 monthsFeb 20173 months7 months-4.06%
7Sep 2014Sep 20141 monthDec 20143 months4 months-3.26%
8Sep 2020Oct 20202 monthsNov 20201 month3 months-3.09%
9Sep 2011Sep 20111 monthOct 20111 month2 months-3.02%
10Feb 2018Apr 20183 monthsAug 20184 months7 months-2.81%
Worst 10 drawdowns included above

Drawdowns for GBFly with Long TIPS

Drawdowns for GBFly with Long TIPS (worst 10)
RankStartEndLengthRecovery ByRecovery TimeUnderwater PeriodDrawdown
1Jan 2022Sep 20229 months-23.42%
2Feb 2015Sep 20158 monthsApr 20167 months1 year 3 months-9.05%
3May 2013Jun 20132 monthsJan 20147 months9 months-7.14%
4Feb 2020Mar 20202 monthsMay 20202 months4 months-7.06%
5Feb 2018Dec 201811 monthsMar 20193 months1 year 2 months-6.53%
6Aug 2016Nov 20164 monthsApr 20175 months9 months-5.22%
7Sep 2014Sep 20141 monthDec 20143 months4 months-4.18%
8Sep 2020Oct 20202 monthsNov 20201 month3 months-3.44%
9Sep 2021Sep 20211 monthOct 20211 month2 months-3.11%
10Dec 2009Jan 20102 monthsMar 20102 months4 months-2.61%
Worst 10 drawdowns included above

Portfolio Assets

Performance statistics for portfolio components
TickerNameCAGRStdevBest YearWorst YearMax DrawdownSharpe RatioSortino RatioMarket Correlation
SPYSPDR S&P 500 ETF Trust12.33%14.77%32.31%-18.17%-23.93%0.821.301.00
VBRVanguard Small-Cap Value ETF10.90%18.85%36.55%-12.26%-35.27%0.610.910.93
TLTiShares 20+ Year Treasury Bond ETF2.79%13.44%33.96%-31.24%-41.64%0.230.37-0.25
GLDSPDR Gold Shares4.16%16.24%29.27%-28.33%-42.91%0.290.470.09
TIPiShares TIPS Bond ETF2.76%5.18%13.28%-12.24%-13.90%0.430.620.29
STPZPIMCO 1-5 Year US TIPS Index ETF1.76%2.59%5.64%-4.47%-5.74%0.450.650.48
LTPZPIMCO 15+ Year US TIPS ETF3.58%12.09%25.10%-32.05%-35.60%0.300.430.21

Portfolio Asset Performance

Performance of portfolio assets
NameTotal ReturnAnnualized ReturnExpense Ratio
3 MonthYear To Date1 year3 year5 year10 yearNetGross
SPDR S&P 500 ETF Trust7.57%-18.17%-18.17%7.64%9.33%12.46%0.09%0.09%
Vanguard Small-Cap Value ETF11.52%-9.36%-9.36%7.11%5.77%10.27%0.07%0.07%
iShares 20+ Year Treasury Bond ETF-1.89%-31.24%-31.24%-8.15%-2.74%0.40%0.15%0.15%
SPDR Gold Shares9.68%-0.77%-0.77%5.88%6.53%0.46%0.40%0.40%
iShares TIPS Bond ETF1.92%-12.24%-12.24%0.92%1.88%0.97%0.19%0.19%
PIMCO 1-5 Year US TIPS Index ETF1.17%-4.47%-4.47%2.09%2.25%1.08%0.20%0.20%
PIMCO 15+ Year US TIPS ETF4.56%-32.05%-32.05%-3.30%-0.14%0.41%0.20%0.20%
Trailing returns as of last calendar month ending December 2022

Monthly Correlations

Correlations for the portfolio assets
TickerNameSPYVBRTLTGLDTIPSTPZLTPZGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPS
SPYSPDR S&P 500 ETF Trust1.000.91-0.240.090.300.480.220.760.790.71
VBRVanguard Small-Cap Value ETF0.911.00-0.360.040.200.440.110.690.720.62
TLTiShares 20+ Year Treasury Bond ETF-0.24-0.361.000.260.590.180.740.270.210.37
GLDSPDR Gold Shares0.090.040.261.000.480.440.430.600.590.60
TIPiShares TIPS Bond ETF0.300.200.590.481.000.830.930.700.650.76
STPZPIMCO 1-5 Year US TIPS Index ETF0.480.440.180.440.831.000.640.690.680.70
LTPZPIMCO 15+ Year US TIPS ETF0.220.110.740.430.930.641.000.650.600.74

Portfolio Return Decomposition

Portfolio return decomposition
TickerNameGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPS
SPYSPDR S&P 500 ETF Trust$5,754$5,620$5,946
VBRVanguard Small-Cap Value ETF$5,028$4,911$5,198
TLTiShares 20+ Year Treasury Bond ETF$903$934$811
GLDSPDR Gold Shares$2,104$2,078$2,144
TIPiShares TIPS Bond ETF$1,047
STPZPIMCO 1-5 Year US TIPS Index ETF$746
LTPZPIMCO 15+ Year US TIPS ETF$1,433
Return attribution decomposes portfolio gains into its constituent parts and identifies the contribution to returns by each of the assets.

Portfolio Risk Decomposition

Portfolio risk decomposition
TickerNameGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPS
SPYSPDR S&P 500 ETF Trust27.25%29.42%22.74%
VBRVanguard Small-Cap Value ETF31.59%34.53%25.63%
TLTiShares 20+ Year Treasury Bond ETF8.70%7.18%10.82%
GLDSPDR Gold Shares23.66%24.42%21.22%
TIPiShares TIPS Bond ETF8.80%
STPZPIMCO 1-5 Year US TIPS Index ETF4.45%
LTPZPIMCO 15+ Year US TIPS ETF19.59%
Risk attribution decomposes portfolio risk into its constituent parts and identifies the contribution to overall volatility by each of the assets.

Annual Asset Returns

Rolling Returns

Rolling returns summary
Roll PeriodGBFly with Broad TIPSGBFly with Short TIPSGBFly with Long TIPS
AverageHighLowAverageHighLowAverageHighLow
1 year7.84%21.66%-15.20%7.57%21.87%-13.64%8.30%21.39%-19.15%
3 years7.59%15.02%2.15%7.32%14.44%2.55%8.12%16.60%1.08%
5 years7.09%11.20%3.99%6.87%10.60%4.13%7.57%12.29%3.66%
7 years7.02%9.11%5.09%6.80%8.67%4.94%7.48%9.81%5.33%
10 years7.46%8.60%4.74%7.21%8.21%4.81%7.96%9.42%4.63%

Annualized Rolling Return - 3 Years

Annualized Rolling Return - 5 Years