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Beefy Portfolio Performance

šŸ“Š Hey Beefies! Weekly Portfolio Update šŸ“Š

Open Positions: 42

šŸ“ˆ Avg. Pick Performance: -3.02%
šŸ“‰ Total Portfolio Return: -126.67%

šŸ”„ Vs. S&P 500:
ā€¢ Avg. Pick: +2.11% (S&P: -5.62%)
ā€¢ Total: +88.58% (S&P: -215.25%)

āœ… Winners: 16
āŒ Losers: 26
šŸ† Top Performer: $COR (+13.64%)
šŸ’£ Largest Drag: $NVDA (-25.23%)

šŸ” Few Stats:

  • Higher average underperformance (-3.02% vs -1.10%) due to tech/financial slump.
  • Still beating S&P 500 by +2.11% on average (vs +2.87% last week).
  • $COR replaces $ABBV as top performer.
  • $NVDA overtakes $SYF as worst performer.

Full data below. šŸ‘‡

šŸ‚ Stay Beefy, Stay Bullish! šŸ‚

Regards,

The Beefy Team


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