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

Equal-weight screen now behaves like a concentrated real estate sleeve with low beta, weak risk-adjusted returns, and deep drawdowns.

Annualized Return
3.92%
Annualized return
Alpha
-3.97%
Active return
Sharpe
0.29
Risk-adjusted return
Beta
0.69
Market sensitivity
Max Drawdown
-40.50%
Maximum drawdown
Top 5
25.00%
Top-5 concentration
Top 10
50.00%
Top-10 concentration
Top 20
100.00%
Top-20 concentration

Portfolio Snapshot

Current optimized weights for the selected default session.

SymbolNameSectorWeightDiff
PLDPrologis, Inc.Real Estate5.00%-4.14
EQIXEquinix, Inc.Real Estate5.00%-2.19
AMTAmerican Tower CorporationReal Estate5.00%-0.64
CBRECBRE Group, Inc.Real Estate5.00%+0.55
SPGSimon Property Group, Inc.Real Estate5.00%+0.42
AVBAvalonBay Communities, Inc.Real Estate5.00%+2.27
PSAPublic StorageReal Estate5.00%+0.55
EXRExtra Space Storage Inc.Real Estate5.00%+1.81
VICIVICI Properties Inc.Real Estate5.00%+1.70
KIMKimco Realty CorporationReal Estate5.00%+3.34
MAAMid-America Apartment Communities, Inc.Real Estate5.00%+3.42
INVHInvitation Homes Inc.Real Estate5.00%+3.30
ESSEssex Property Trust, Inc.Real Estate5.00%+3.22
EQREquity ResidentialReal Estate5.00%+2.64
SBACSBA Communications CorporationReal Estate5.00%+2.57
FRTFederal Realty Investment TrustReal Estate5.00%+4.05
REGRegency Centers CorporationReal Estate5.00%+3.66
CPTCamden Property TrustReal Estate5.00%+3.88
UDRUDR, Inc.Real Estate5.00%+3.84
HSTHost Hotels & Resorts, Inc.Real Estate5.00%+3.51

Sector Exposure

  • Real Estate100.00%

Weight Changes

Notable position adjustments in the latest snapshot.

  • PLDPrologis, Inc.5.00% (-4.14)
  • EQIXEquinix, Inc.5.00% (-2.19)
  • AMTAmerican Tower Corporation5.00% (-0.64)
  • CBRECBRE Group, Inc.5.00% (+0.55)
  • SPGSimon Property Group, Inc.5.00% (+0.42)
  • AVBAvalonBay Communities, Inc.5.00% (+2.27)
  • PSAPublic Storage5.00% (+0.55)
  • EXRExtra Space Storage Inc.5.00% (+1.81)
  • VICIVICI Properties Inc.5.00% (+1.70)
  • KIMKimco Realty Corporation5.00% (+3.34)
  • MAAMid-America Apartment Communities, Inc.5.00% (+3.42)
  • INVHInvitation Homes Inc.5.00% (+3.30)
  • ESSEssex Property Trust, Inc.5.00% (+3.22)
  • EQREquity Residential5.00% (+2.64)
  • SBACSBA Communications Corporation5.00% (+2.57)
  • FRTFederal Realty Investment Trust5.00% (+4.05)
  • REGRegency Centers Corporation5.00% (+3.66)
  • CPTCamden Property Trust5.00% (+3.88)
  • UDRUDR, Inc.5.00% (+3.84)
  • HSTHost Hotels & Resorts, Inc.5.00% (+3.51)

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: -40.50%(Oct 23)

Turnover Trend

Per-period turnover with average reference.

Avg turnover: 9.69Peak: 24.59

Strategy Comparison

All four default strategies side-by-side.

StrategyAnnualizedAlphaSharpeMax DD
Baseline4.19%-5.72%0.30-38.51%
Momentum Screen1.90%-7.00%0.19-38.97%
Basic Value Screen0.22%-10.91%0.14-53.78%
Combo Equal Screen3.92%-3.97%0.29-40.50%

vs Baseline: Annualized -0.27 · Alpha +1.75 · Sharpe -0.02

Recent Periods

Per-period performance vs benchmark.

PeriodStrategyBenchmarkExcessTurnoverTrades
2025-05-31-1.40%3.75%-5.152.9320
2025-06-300.46%2.69%-2.2312.7121
2025-07-313.46%2.05%+1.4113.6521
2025-08-310.37%3.66%-3.293.1320
2025-09-30-4.05%2.05%-6.1012.5321
2025-10-311.51%0.20%+1.313.0420
2025-11-301.17%0.99%+0.183.3820
2025-12-312.22%1.47%+0.741.7120
2026-01-317.01%-1.35%+8.363.5520
2026-02-28-8.62%-7.93%-0.6924.5922
2026-03-318.46%9.42%-0.963.6120
2026-04-300.62%4.11%-3.493.0620

Strategy Q&A

Pre-generated questions and answers about this strategy.

  • combo13FChat AI

    What trade-off should a user understand before choosing the combo equal-weight screen?

    The trade-off is that Combo Equal Screen may improve or smooth the original portfolio, but it can also discard meaningful manager sizing. The best period was 2026-01-31 (7.01% strategy return, -1.35% benchmark, 8.36% excess, 3.55% turnover), and the weakest was 2025-09-30 (-4.05% strategy return, 2.05% benchmark, -6.10% excess, 12.53% turnover). With return 3.92%, alpha -3.97%, beta 0.69, Sharpe 0.29, Sortino 0.37, and max drawdown -40.50% and turnover around 9.69%, the screen should be chosen only if the user prefers the rules-based basket over the original concentration pattern.

    strategyViews.combo-equal-screen.periodPerformancestrategyViews.combo-equal-screen.metrics

    Stress-test the combo screen under higher trading cost, weaker sector leadership, and larger drawdowns.

  • combo13FChat AI

    Which names and sector exposures are driving the combo result?

    The combo basket is led by PLD (Prologis, Inc.) 5.00%, EQIX (Equinix, Inc.) 5.00%, AMT (American Tower Corporation) 5.00%, CBRE 5.00%, and SPG (Simon Property Group, Inc.) 5.00%, with sector exposure of Real Estate 100.00%. The latest change list shows PLD decrease to 5.00%; FRT increase to 5.00%; CPT increase to 5.00%, 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 PLD (Prologis, Inc.) 5.00%, EQIX (Equinix, Inc.) 5.00%, AMT (American Tower Corporation) 5.00%, CBRE 5.00%, SPG (Simon Property Group, Inc.) 5.00%, AVB (AvalonBay Communities, Inc.) 5.00%, PSA (Public Storage) 5.00%, and EXR (Extra Space Storage Inc.) 5.00%. That produces top 5 25.00%, top 10 50.00%, top 20 100.00% and sector exposure of Real Estate 100.00%. Compared with baseline concentration of top 5 36.83%, top 10 58.78%, top 20 86.15%, 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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