2022 September CAD

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-8.49% MTD
-8.10% YTD

Monthly Performance (net of all fees)

JanFebMarAprMayJunJulAugSepOctNovDec YTD
20221.151.02.93.10-1.61.82-1.61-0.33-8.49-8.10%
20213.403.993.751.271.301.540.221.514.893.700.501.2030.78%
20200.41-.20-1.91.741.662.251.263.131.100.572.043.1515.02%
20191.721.793.131.151.35-0.75-1.54-1.340.04-1.45-2.571.392.76%
20186.364.810.950.71-0.85-1.072.501.693.530.670.02-0.1820.58%
20170.270.050.350.251.391.451.770.123.273.6113.961.9631.51%
20161.593.301.53-0.825.67%

Risk vs. Return Comparisons Across Indexes

Month Return YTD Return Volatility Sharpe Sortino Beta Best Month Worst Month Annualized
Caravel-8.49%-8.10%8.84%1.211.541.0013.96%-8.49%15.33%
S&P 500-9.22%-23.88%16.52%0.450.630.1312.82%-12.35%10.58%
S&P/TSX-4.26%-11.07%13.67%0.280.290.1110.79%-17.38%7.11%

Growth of $1000 since inception