Update on V-20 Portfolio (Week 136)

V-20 Total Return 144.26%
NIFTY_500 Return 100.51%
Cash 53.85%
V-20-CAGR -26.38%
Win/Loss % 95.35%
Profit Factor 2.660
Percent Profitable 48.81%
Portfolio Maximum DD -11.68%
Current Drawdown -8.02%
Index Maximum DD -18.48%
Index Current Drawdown -5.99%
No. of stocks 9
Performance of winners & losers:

Wins Avg Losses Avg
Invested 4 20.77% 5 -14.81%
Exited 78 33.86% 81 -11.73%

Changes in Portfolio:

SELL: 9
BUY: 0

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