f/fundlab/pool/benchmarks.txt
Greg Pomerantz db5fc4626d Fund Lab: returns-based strategy decomposition for the 16 shortlist funds
- fundlab/decompose.py: per-fund OLS forward selection (BIC-gated, |t|>2,
  per-model complete cases so differently-vintaged candidates stay
  comparable) against curated DISTINCT-AXIS candidate sets; full-history
  + last-5y models; rolling 1y beta drift for static-vs-time-varying
  verdicts; per-fund holdings cross-check notes
- results (13 unique funds; pmfkx/lcrix/egrsx are share classes):
  * jlpsx  ~1.04x S&P 500, R2 0.96 5y  (cleanest)
  * lamhx  S&P + value/mid tilt, R2 0.95, stable
  * cosix  5y: HY +0.30 / MBS +0.29 / IG +0.18, R2 0.86
  * cvsix  market neutral, 5y R2 0.74, +5.5%/yr alpha (t 6.7)
  * pmaix  multi-asset: HY .62 / EFA .23 / comm .05 / bonds -.15
  * mbxix  hedge: ivv .39 / ief -.67 / fxe -.28, R2 0.53
  * atesx  NOT a static mix - rolling beta to its own QQQ/SPY holdings
            is 0.13-0.89 (median 0.30): the 'risk managed' overlay is real
  * qspnx/svarx/eagmx/atrfx/pmorx: market-neutral or idiosyncratic -
            alpha, not sleeves (qspnx +12.8%/yr alpha t 4.0)
  * lcorx/lcrix: new classes (Jul 2026), no history yet - holdings only
- atesx holdings: pulled from the adviser's SOI PDF (anchor-soi-5.31.26):
  QQQ 65.2% + SPY 29.3% + MMF 0.6%, options overlay 4.9%
- pool: added qqq (Nasdaq 100) - needed to fit tech-concentrated funds
- app Fund Lab tab: per-fund decomposition (verdict, R2 full/5y, alpha,
  tracking error, beta drift, component table + bar chart, holdings
  cross-check note) and an all-funds summary expander
- tests: ols/forward-select engine tests (50/50 fundlab)
2026-08-26 11:59:59 -04:00

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Treasury/Agency:
vfijx gnma
vipix inflation-protected securities
vbiux intermediate-term bond index
viigx intermediate-term government bond
vfiux intermediate term treasury
vblix long-term bond index
vlgix long-term government bond
vusux long-term treasury
vmbix mortgage-backed securities
vbipx short-term bond index
vsbix short-term government bond
vtspx short-term inflation protected
vfirx short-term treasury
vbtlx total bond market index
Investment Grade:
vicbx intermediate-term corporate bond
vfidx intermediate-term investment grade
vlcix long-term corporate bond
vwetx long-term investment grade
vstbx short-term corporate bond
vfsix short-term investment grade
vusfx ultra-short term bond
Below Investment Grade:
vweax high-yield corporate
Floating rate:
ffrhx Fidelity floating rate high income fund
Mortgage securities:
fmsfx Fidelity mortgage securities fund (basically the same as vmbix.ret)
Non-US:
fgbfx Fidelity global bond fund
finux Fidelity International Bond Fund
fnmix Fidelity new markets income fund
fghnx Fidelity global high income fund
Currencies:
FXA Australian Dollar
FXB British Pound
FXC Canadian Dollar
FXCH Chinese Renminbi
FXE Euro
FXY Japanese Yen
FXSG Singapore Dollar
FXS Swedish Krona
FXF Swiss Frank
UUP US Dollar Index
Commodities
oil Oil
uso US Oil
gld Gold
slv Silver
ung Natural Gas
djp Dow Jones-UBS Commodity Index
dba Agriculture
gsg GSCI commodity index
dbb Base metals
gltr precious metals
jo Coffee
jjg Grains
jjc Copper
corn Corn
weat Wheat
nib Cocoa
cow Livestock
ptm Platinum
bal Cotton
International Equity
ewg Germany
ewq France
ewh Hong Kong
ewi Italy
ewn Netherlands
eww Mexico
ewm Malaysia
ews Singapore
ewp Spain Capped
ewl Switzerland Capped
ewd Sweden
ewu United Kingdom
ewa Australia
ewk Belgium Capped
ewo Austria Capped
ewc Canada
ewy South Korea
ewt Taiwan
ewz Brazil
ezu Eurozone
iev Europe
US Sectors
iyf Financials
iyz Telecommunications
iym Basic Materials
iye Energy
iyc Consumer Services
iyk Consumer Goods
iyh Healthcare
iyg Financial Services
iyj Industrials
iyr Real Estate
idu Utilities
iyw Technology
kie Insurance
ibb Biotech
xbi Biotech
US Sectors
xly Discretionary
xlp Staples
xle Energy
xlf Financials
xlv Health Care
xli Industrials
xlb Materials
xlre Real Estate
xlk Technology
xlu Utilities
US Style Box
ijr S&P Small-Cap
ijs S&P Small-Cap 600 Value
ijt S&P Small-Cap 600 Growth
ijh S&P Mid-Cap
ijk S&P Mid-Cap 400 Growth
ijj S&P Mid-Cap 400 Value
ivv S&P 500
ivw S&P 500 Growth
ive S&P 500 Value
Common index ETFs (fundlab augmentations):
agg US aggregate bond
vt total world stock
vwo emerging markets stock
vnq US real estate (REITs)
vea developed markets (ex-US, FTSE)
efa developed markets (ex-US, MSCI)
iwm US small cap
tlt US long-term treasuries (20+ yr)
ief US intermediate treasuries (7-10 yr)
shv US short-term treasuries
bil US t-bills / cash
qqq Nasdaq 100