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  • SPGI vs ACM✓SelectedUSD · ACMSPGI vs ACM performance historyLatest closeAs of-1.57%09/04
Stock and ETF performance explorer

SPGI vs ACM

vs
1w1mo3mo6mo1y3y5y10yallcustom
Portfolio return
-12.5%
ACM return
-45.8%
Excess return
+33.3%
Maximum drawdown
-28.9%

Performance

Returns, benchmark comparison, and relative performance.

Performance by timeframe

Returns for 1y.

Portfolio and benchmark returns by period
PeriodPortfolioACMExcessAlpha
1D-1.6%-0.4%-1.2%-1.5%
7D+0.1%-3.7%+3.9%+0.4%
30D+8.4%-11.1%+19.5%+8.7%
3M+11.8%-8.0%+19.8%+12.0%
6M+5.7%-29.7%+35.4%+7.5%
YTD-9.7%-29.4%+19.7%-8.4%
1Y-12.5%-46.4%+34.0%-11.8%
All-12.5%-45.8%+33.3%-11.8%

Cumulative growth

Daily Returns

Daily percentage return beside ACM.

Daily Out/Under-Performance

Portfolio return minus ACM return. Positive bars indicate outperformance.

Daily Alpha

Portfolio daily return minus β × ACM return. Early observations use the first valid beta; later observations use the trailing beta estimated for each date.

Cumulative Out/Under-Performance

Relative wealth over 1y: compounded portfolio wealth divided by compounded ACM wealth, less one. Both series rebase at the selected span's start.

Cumulative Alpha

Compounded beta-adjusted residual returns apply the first valid beta to early observations, then the trailing beta ending on each date.

Updating return analytics…

1y analysis · Full analysis span regression · 6 months rolling