At TuringTrader.com, we describe our portfolios using a variety of charts and metrics. We strongly encourage you to familiarize yourself with each one because it significantly contributes to making informed investment decisions and your long-term success.
Investing, much like loaning money to a trusted friend, requires a deep understanding before making commitments. For that reason, we at TuringTrader provide you with the best possible insight into the historical performance of our portfolios. While historical performance doesn't guarantee future results, observing how a portfolio behaved in past bull and bear markets offers valuable guidance. For a comprehensive view, we use some industry-standard charts and metrics along with proprietary charts. In contrast to fixating on absolute returns, we assess returns in conjunction with historical performance, risk, and time horizon.
Our metrics:
- Return Metrics: Derived from historical data, these are ex-post or after the event.
- Risk Metrics: Various measures to assess investment risk.
- Ex-Ante Measures: Predictions of possible future outcomes or before the event.
- Benchmarks
For a comprehensive exploration, including pros and cons for all measures, check out our article at Invest Like a Pro.