Optimization Strategycombo-equal-screen
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Combo Equal Screen

Filter for large-cap, quality, and low-leverage holdings, rank by composite quality/value/size score, keep the top 20 names, and equal-weight the selected names.

AI Summary

Combo Equal Screen's latest 13F is mainly driven by high-weight positions such as LULU, MOH, SLM, with sector exposure concentrated in Consumer Discretionary, Information Technology, Financials. The portfolio appears concentrated and follows a low disclosure-frequency cadence.

Annualized Return
15.76%
Annualized return
Alpha
5.46%
Active return
Sharpe
0.61
Risk-adjusted return
Beta
1.00
Market sensitivity
Max Drawdown
-46.57%
Maximum drawdown
Top 5
100.00%
Top-5 concentration
Top 10
100.00%
Top-10 concentration
Top 20
100.00%
Top-20 concentration

Portfolio Snapshot

Current optimized weights for the selected default session.

SymbolNameSectorWeightDiff
LULUlululemon athletica inc.Consumer Discretionary100.00%+62.53

Sector Exposure

  • Consumer Discretionary100.00%

Weight Changes

Notable position adjustments in the latest snapshot.

  • LULUlululemon athletica inc.100.00% (+62.53)

Performance vs Benchmark

Strategy NAV vs benchmark — hover for exact values.

Combo Equal ScreenBenchmark

Alpha Trend

Excess return vs benchmark over time.

Alpha (positive)Alpha (negative)

Drawdown Trend

Underwater curve and peak drawdown marker.

Max DD: -46.57%(Apr 25)

Turnover Trend

Per-period turnover with average reference.

Avg turnover: 151.38Peak: 200.32

Strategy Comparison

All four default strategies side-by-side.

StrategyAnnualizedAlphaSharpeMax DD
Baseline22.80%20.62%0.65-65.68%
Momentum Screen9.68%14.59%0.43-80.50%
Basic Value Screen6.99%16.78%0.42-86.78%
Combo Equal Screen15.76%5.46%0.61-46.57%

vs Baseline: Annualized -7.04 · Alpha -15.15 · Sharpe -0.05

Recent Periods

Per-period performance vs benchmark.

PeriodStrategyBenchmarkExcessTurnoverTrades
2023-03-319.77%7.90%+1.86173.238
2023-06-30-27.97%-1.77%-26.21200.232
2023-09-300.58%10.11%-9.53144.875
2023-12-3116.76%4.96%+11.80145.705
2024-03-3120.04%2.31%+17.72200.192
2024-06-30-8.85%9.83%-18.67200.252
2024-09-306.70%2.76%+3.94125.334
2024-12-31-4.25%-3.63%-0.63153.805
2025-03-3149.76%9.22%+40.54200.252
2025-06-305.03%4.20%+0.83200.203
2025-09-303.37%1.46%+1.91119.282
2025-12-31-29.59%9.57%-39.160.171

Strategy Q&A

Pre-generated questions and answers about this strategy.

  • combo13FChat AI

    Was the combo screen's result driven more by stock selection or by weight redistribution?

    The combo result appears to be a mix of stock selection and weight redistribution. It selected LULU (lululemon athletica inc.) 100.00% and delivered return 15.76%, alpha 5.46%, beta 1.00, Sharpe 0.61, Sortino 0.83, and max drawdown -46.57%. Versus baseline, annualized return changed by -7.04%, alpha changed by -15.15%, Sharpe changed by -0.05, Sortino changed by -0.09, drawdown improved by 19.11%. The selected-name list and changed weights are the first places to check whether performance came from better stocks or simply different sizing.

    strategyViews.combo-equal-screen.topHoldingsstrategyViews.combo-equal-screen.metrics

    Separate the combo result into selected names, weight changes, and return contribution.

  • combo13FChat AI

    Which names and sector exposures are driving the combo result?

    The combo basket is led by LULU (lululemon athletica inc.) 100.00%, with sector exposure of Consumer Discretionary 100.00%. The latest change list shows LULU increase to 100.00%, so the user should inspect whether these are desirable active bets or just mechanical consequences of the screen.

    strategyViews.combo-equal-screen.topHoldingsstrategyViews.combo-equal-screen.latestChanges

    Review the combo basket's top sector bets, increased names, and reduced baseline names.

  • combo13FChat AI

    How did the combo equal-weight screen change portfolio structure versus the baseline?

    Combo Equal Screen changes structure by selecting LULU (lululemon athletica inc.) 100.00%. That produces top 5 100.00%, top 10 100.00%, top 20 100.00% and sector exposure of Consumer Discretionary 100.00%. Compared with baseline concentration of top 5 100.00%, top 10 100.00%, top 20 100.00%, this is less about copying original sizing and more about testing a cleaner rules-based basket.

    strategyViews.combo-equal-screen.topHoldingsstrategyViews.combo-equal-screen.concentration

    Compare combo weights with Baseline weights and identify the largest reallocations.

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