Coopy

model.portfolio

Asset Allocation
Aggressive Portfolio's asset allocation status
An aggressive portfolio seeking high returns. Focuses on investing in AlphaTrader and DeltaMaster traders to maximize returns.
Portfolio Performance
Overall performance indicators
Total Return
+135.86%
Annual Return
+241.51%
Max Drawdown
-9.09%
Sharpe Ratio
8.39
Portfolio Constituent Traders
List of traders included in the portfolio
Al
AlphaTrader
Binance
Allocation: 70.0%
+42.5%
Be
BetaStrategist
Binance
Allocation: 0.0%
+35.2%
De
DeltaMaster
Binance
Allocation: 30.0%
+48.7%