優化策略momentum-screen
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Quant Analysis ResultMomentum ScreenRun Ready

Momentum Screen

Select holdings by historically observable momentum, targeting roughly one quarter of each period's original member count and no more than 20 names; when a period has over 100 members, pre-rank to the top 50 first.

AI Summary

High-conviction momentum portfolio with strong long-run alpha and returns, but materially higher drawdown, beta, and concentration risk than the original plan.

Annualized Return
32.69%
Annualized return
Alpha
14.49%
Active return
Sharpe
1.09
Risk-adjusted return
Beta
1.30
Market sensitivity
Max Drawdown
-40.38%
Maximum drawdown
Top 5
71.89%
Top-5 concentration
Top 10
85.98%
Top-10 concentration
Top 20
99.98%
Top-20 concentration

Portfolio Snapshot

Current optimized weights for the selected default session.

SymbolNameSectorWeightDiff
TERTeradyne, Inc.Information Technology20.00%+16.86
ILMNIllumina, Inc.Health Care18.46%+17.08
GOOGLAlphabet Inc.Communication Services15.86%+14.68
ABNBAirbnb, Inc.Consumer Discretionary12.61%+11.70
QCOMQUALCOMM IncorporatedInformation Technology4.96%+4.67
ISRGIntuitive Surgical, Inc.Health Care3.69%+3.50
CATCaterpillar Inc.Industrials2.99%+2.86
AMGNAmgen Inc.Health Care2.59%+2.49
INCYIncyte CorporationHealth Care2.48%+2.39
VRTXVertex Pharmaceuticals IncorporatedHealth Care2.34%+2.26
TEVATeva Pharmaceutical Industries LimitedHealth Care1.61%+1.59
ALGNAlign Technology, Inc.Health Care1.45%+1.44
UPSUnited Parcel Service, Inc.Industrials1.45%+1.44
AMEAMETEK, Inc.Industrials1.45%+1.44
ATIATI Inc.Industrials1.34%+1.34
CRSCarpenter Technology CorporationIndustrials1.34%+1.34
KMTKennametal Inc.Industrials1.34%+1.34
REGNRegeneron Pharmaceuticals, Inc.Health Care1.34%+1.34
JBLJabil Inc.Information Technology1.34%+1.34
EMNEastman Chemical CompanyMaterials1.34%+1.34

Sector Exposure

  • Health Care33.96%
  • Information Technology26.30%
  • Communication Services15.86%
  • Consumer Discretionary12.61%
  • Industrials9.91%
  • Materials1.34%

Weight Changes

Notable position adjustments in the latest snapshot.

  • TERTeradyne, Inc.20.00% (+16.86)
  • ILMNIllumina, Inc.18.46% (+17.08)
  • GOOGLAlphabet Inc.15.86% (+14.68)
  • ABNBAirbnb, Inc.12.61% (+11.70)
  • QCOMQUALCOMM Incorporated4.96% (+4.67)
  • ISRGIntuitive Surgical, Inc.3.69% (+3.50)
  • CATCaterpillar Inc.2.99% (+2.86)
  • AMGNAmgen Inc.2.59% (+2.49)
  • INCYIncyte Corporation2.48% (+2.39)
  • VRTXVertex Pharmaceuticals Incorporated2.34% (+2.26)
  • TEVATeva Pharmaceutical Industries Limited1.61% (+1.59)
  • ALGNAlign Technology, Inc.1.45% (+1.44)
  • UPSUnited Parcel Service, Inc.1.45% (+1.44)
  • AMEAMETEK, Inc.1.45% (+1.44)
  • ATIATI Inc.1.34% (+1.34)
  • CRSCarpenter Technology Corporation1.34% (+1.34)
  • KMTKennametal Inc.1.34% (+1.34)
  • REGNRegeneron Pharmaceuticals, Inc.1.34% (+1.34)
  • JBLJabil Inc.1.34% (+1.34)
  • EMNEastman Chemical Company1.34% (+1.34)

Performance vs Benchmark

Strategy NAV vs benchmark — hover for exact values.

Momentum ScreenBenchmark

Alpha Trend

Excess return vs benchmark over time.

Alpha (positive)Alpha (negative)

Drawdown Trend

Underwater curve and peak drawdown marker.

Max DD: -40.38%(Sep 22)

Turnover Trend

Per-period turnover with average reference.

Avg turnover: 119.44Peak: 187.50

Strategy Comparison

All four default strategies side-by-side.

StrategyAnnualizedAlphaSharpeMax DD
Baseline16.25%7.86%1.12-22.24%
Momentum Screen32.69%14.49%1.09-40.38%
Basic Value Screen18.35%4.60%0.82-36.24%
Combo Equal Screen18.31%3.42%0.83-37.02%

vs Baseline: Annualized +16.44 · Alpha +6.62 · Sharpe -0.03

Recent Periods

Per-period performance vs benchmark.

PeriodStrategyBenchmarkExcessTurnoverTrades
2022-12-31-6.52%-0.25%-6.2786.7727
2023-03-3125.05%7.90%+17.15135.5931
2023-06-302.32%-1.77%+4.0984.1427
2023-09-3026.39%10.11%+16.29100.9328
2023-12-316.40%4.96%+1.44122.5527
2024-03-314.58%2.31%+2.26109.9832
2024-06-3031.67%9.83%+21.84104.9932
2024-09-3026.94%2.76%+24.18106.8130
2024-12-31-5.17%-3.63%-1.5448.7128
2025-03-3129.28%9.22%+20.06116.7831
2025-06-303.99%4.20%-0.21130.1132
2025-09-303.75%1.49%+2.2670.0228

Strategy Q&A

Pre-generated questions and answers about this strategy.

  • momentum13FChat AI

    Which names did the momentum screen keep, and how does that reflect a momentum tilt?

    Momentum Screen selected TER 20.00%, ILMN 18.46%, GOOGL 15.86%, ABNB 12.61%, QCOM 4.96%, ISRG 3.69%. That is a high-turnover momentum expression rather than a neutral rewrite of the fund. Sector exposure is Health Care 33.96%, Information Technology 26.30%, Communication Services 15.86%, Consumer Discretionary 12.61%. The screen is therefore asking whether these specific winners, not the full disclosed book, are the right way to express the manager's opportunity set.

    strategyViews.momentum-screen.topHoldingsstrategyViews.momentum-screen.sectorWeights

    Explain why the selected holdings passed the momentum screen.

  • momentum13FChat AI

    Did the momentum screen improve returns enough to justify its drawdown and concentration risk?

    My read is that Momentum Screen improved the return profile. It produced return 32.69%, alpha 14.49%, beta 1.30, Sharpe 1.09, Sortino 1.47, max drawdown -40.38%; compared with Baseline, annualized return changed by 16.44%, Sharpe by -0.03, and max drawdown by -18.14%. The high recent turnover also means implementation cost and stability matter.

    strategyViews.momentum-screen.metricsstrategyViews.baseline.metricsstrategyViews.momentum-screen.periodPerformance

    Compare momentum return improvement against drawdown, Sharpe, and turnover.

  • momentum13FChat AI

    Which periods or holdings most clearly explain the momentum screen's result?

    The driver evidence is uneven. Upside is best represented by 2024-09-30 (26.94% vs SPY 2.76%, excess 24.18%, turnover 106.81%), while downside/lag risk is shown by 2022-12-31 (-6.52% vs SPY -0.25%, excess -6.27%, turnover 86.77%). Current changes include ILMN raised by 17.08% to 18.46%; TER raised by 16.86% to 20.00% and no large named moves. If the selected list is narrow, those period outcomes are likely tied to just a few holdings rather than broad portfolio skill.

    strategyViews.momentum-screen.periodPerformancestrategyViews.momentum-screen.latestChanges

    Tie the strongest and weakest momentum periods to selected holdings.

該基金的其它策略

本內容僅用於信息展示與投資研究,不構成投資建議。