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Guggenheim Multi-Asset Income ETF

for period ending September 30, 2019
 
This portfolio is provided by Guggenheim Investments.
CVY is the ticker for this portfolio. This ticker appears in the scatterplots below and on the Summary Page showing all portfolios. You can invest in this portfolio using the ticker "CVY" at FolioInvesting.com or your favorite brokerage. See How to Invest (below) for more details on how buy this portfolio.
 
Use this page to find a high return, lower risk portfolio recipe using the Choose – Invest – RebalanceTM process
 

How to Choose

Risk vs. return for CVY:   The scatterplots below show the best portfolios as dots closest to the green smiley the at top left of each scatterplot. The yellow dot shows the total return and risk for this portfolio. The risk is measured by maximum loss over each period. Any dot closer to the top left corner has shown better performance using this metric.

For more metrics (Total Return, Risk and Volatility, Correlation) scroll down on this page. The Summary Page compares all portfolios.
Maximum Drawdown vs. Annual Return
CVYPeer group recipesAll other recipesS&P 500 (SPY)U.S. Bonds (BND)Balanced (60% Equity / 40% Bonds)
The location of CVY and the identities of all the portfolios on the 3, 5, 7, and 10 year graphs are available to subscribers only. Upgrade your subscription. Only $15 per month. Cancel anytime.
 
Description   Guggenheim Multi-Asset Income ETF gives investors access to a multi-strategy, income portfolio that uses a variety of fixed income securities. This portfolio is an exchange-traded fund and implements a particular asset allocation approach that is directed by the fund manager.

Category   Tactical: Managed

Ingredients used   This portfolio invests in a variety of fixed income securities.

Peer Group   Tactical: Managed. See How to Invest, below. You can see how this portfolio has performed compared to its peers by clicking on any "Rank: Group" link in the Compare sections, below.

Methodology   This portfolio is an exchange-traded fund and its holdings are determined by the fund's manager, Guggenheim Investments. The investment seeks investment results that correspond generally to the performance, before the fund's fees and expenses, of an equity index called the Zacks Multi-Asset Income Index. The fund invests at least 90% of its total assets in securities that comprise the index and depositary receipts representing securities that comprise the index. The Zacks Multi-Asset Income Index is comprised of approximately 149 securities selected, based on investment and other criteria, from a universe of domestic and international companies. The securities comprising the index include stocks of small and medium-sized companies. You may consult guggenheiminvestments.com for details on how this manager chooses particular assets for inclusion in this fund.

Cost
 

How to Invest

You can invest in this portfolio by buying the ticker symbol "CVY" at FolioInvesting.com or your favorite brokerage. The full set of risk and return metrics for this recipe are available to VizMetrics subscribers. Upgrade your subscription for full access. Only $15 per month. Cancel anytime.
 

How to Rebalance

You do not need to adjust the composition of this portfolio. While the underlying assets in this portfolio may change, the portfolio manager handles the details of buying and selling these underlying asset ingredients.

Compare: Risk vs. Return

for period ending September 30, 2019
VizMetricsTM Score This is a 0 to 100 score that measures risk-adjusted return
 1 year3 year5 year7 year10 year
CVY6090748197
Peer Group* average7391939596
60% Equity / 40% Bonds79100100100100
Global Equities (ACWI)581009410092
U.S. Equities (SPY)61100100100100
U.S. Bonds (BND)1009610098100
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All
Downside Deviation vs. Annual Return
CVYPeer group recipesAll other recipesS&P 500 (SPY)U.S. Bonds (BND)Balanced (60% Equity / 40% Bonds)
The location of CVY and the identities of all the portfolios on the 3, 5, 7, and 10 year graphs are available to subscribers only. Upgrade your subscription. Only $15 per month. Cancel anytime.
Standard Deviation vs. Annual Return
CVYPeer group recipesAll other recipesS&P 500 (SPY)U.S. Bonds (BND)Balanced (60% Equity / 40% Bonds)
The location of CVY and the identities of all the portfolios on the 3, 5, 7, and 10 year graphs are available to subscribers only. Upgrade your subscription. Only $15 per month. Cancel anytime.
M-squared
 1 year3 year5 year7 year10 year
CVY-0.3%-4.9%-8.0%-8.6%-4.9%
Peer Group* average2.3%-4.6%-3.7%-4.2%-2.2%
60% Equity / 40% Bonds4.8%0.4%1.5%0.9%2.1%
Global Equities (ACWI)-2.6%-2.8%-3.7%-4.2%-5.5%
U.S. Equities (SPY)0.0%0.0%0.0%0.0%0.0%
U.S. Bonds (BND)36.7%-7.1%-1.2%-5.7%0.1%
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All
Alpha
 1 year3 year5 year7 year10 year
CVY-0.2%-3.8%-7.3%-7.5%-3.4%
Peer Group* average-0.3%-1.5%-1.3%-1.1%-0.5%
60% Equity / 40% Bonds3.0%0.4%1.0%0.7%1.4%
Global Equities (ACWI)-2.4%-2.2%-3.2%-3.4%-5.3%
U.S. Equities (SPY)0.0%0.0%0.0%0.0%0.0%
U.S. Bonds (BND)8.2%1.9%2.8%2.3%3.7%
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All
Sharpe
 1 year3 year5 year7 year10 year
CVY0.180.600.210.400.65
Peer Group* average0.260.600.530.750.84
60% Equity / 40% Bonds0.400.990.941.181.16
Global Equities (ACWI)0.040.750.550.770.61
U.S. Equities (SPY)0.180.970.841.111.01
U.S. Bonds (BND)1.980.400.730.621.01
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All

Compare: Total Return

for period ending September 30, 2019
5-year graph CVYGlobal equities (ACWI)U.S. equities (SPY)U.S. bonds (BND)60% Equity / 40% Bonds (s.6040)
Total Return (Compound Annual Growth Rate)
 Year-to-dateSep 20191 year3 year5 year7 year10 year
CVY19.0%5.5%4.0%9.0%2.9%4.9%8.0%
Peer Group* average10.9%1.1%2.9%5.9%4.4%5.8%6.9%
60% Equity / 40% Bonds15.6%0.8%6.3%9.0%7.8%8.9%9.5%
Global Equities (ACWI)16.4%2.2%1.6%10.0%6.9%8.9%8.3%
U.S. Equities (SPY)20.4%1.9%4.1%13.3%10.7%13.1%13.1%
U.S. Bonds (BND)8.6%-0.6%10.4%2.9%3.3%2.7%3.7%
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: AllRank: AllRank: All
Historical Return
 20142015201620172018
CVY-4.3%-14.3%16.3%15.9%-10.8%
Peer Group* average5.6%-1.8%6.6%12.1%-5.2%
60% Equity / 40% Bonds9.9%0.7%8.8%13.9%-2.8%
Global Equities (ACWI)2.4%-2.2%8.4%24.3%-9.1%
U.S. Equities (SPY)13.5%1.3%12.0%21.7%-4.6%
U.S. Bonds (BND)5.8%0.6%2.5%3.5%0.1%
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All

Compare: Risk & Volatility

for period ending September 30, 2019
Maximum Drawdown
 1 year3 year5 year7 year10 year
CVY-9.0%-13.4%-22.3%-27.5%-27.5%
Peer Group* average-4.8%-9.4%-11.1%-11.6%-13.2%
60% Equity / 40% Bonds-4.7%-8.1%-8.1%-8.1%-9.1%
Global Equities (ACWI)-7.2%-14.0%-14.0%-14.0%-21.9%
U.S. Equities (SPY)-8.8%-13.5%-13.5%-13.5%-16.2%
U.S. Bonds (BND)-0.6%-2.6%-3.7%-4.0%-4.0%
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All
Standard Deviation
 1 year3 year5 year7 year10 year
CVY21.7%14.0%13.2%12.5%13.2%
Peer Group* average10.7%7.9%7.8%7.6%8.9%
60% Equity / 40% Bonds11.7%7.9%7.7%7.4%8.3%
Global Equities (ACWI)17.4%12.4%12.4%11.9%14.8%
U.S. Equities (SPY)18.9%13.5%13.1%12.4%14.1%
U.S. Bonds (BND)4.1%3.5%3.4%3.3%3.2%
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All
Downside Deviation
 1 year3 year5 year7 year10 year
CVY14.3%9.1%8.7%8.1%8.1%
Peer Group* average7.4%5.2%5.1%4.7%5.5%
60% Equity / 40% Bonds7.9%5.1%4.7%4.3%4.7%
Global Equities (ACWI)12.6%8.4%8.1%7.5%9.4%
U.S. Equities (SPY)13.7%9.0%8.3%7.5%8.4%
U.S. Bonds (BND)1.1%2.1%1.8%1.9%1.7%
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All
Beta
 1 year3 year5 year7 year10 year
CVY1.080.960.940.940.87
Peer Group* average0.520.500.490.500.54
60% Equity / 40% Bonds0.610.600.590.600.60
Global Equities (ACWI)0.930.900.940.931.04
U.S. Equities (SPY)1.001.001.001.001.00
U.S. Bonds (BND)-0.03-0.04-0.04-0.03-0.05
Ranking: Peer Group*Rank: GroupRank: GroupRank: GroupRank: GroupRank: Group
Ranking: All RecipesRank: AllRank: AllRank: AllRank: AllRank: All

Compare: Correlation

for period ending September 30, 2019
 1 year3 year5 year7 year10 year
to Global Stocks (ACWI)0.960.900.910.890.89
to S&P500 (SPY)0.950.890.870.870.89
to U.S. Bonds (BND)-0.27-0.19-0.13-0.04-0.09
to Commodities (DBC)0.720.600.520.530.62
to Gold (GLD)-0.20-0.15-0.090.010.10