Thematic portfolio

1Y return
47.84%
5Y annualized
N.A
Volatility
7.73%
Max. drawdown
69.46%
Sharpe ratio
1.26
Performance and volatility data is accurate as of Jan 1st, 2025. The performance figures presented are gross of fees, excluding any transactional fees from brokerage services, advisory or platform fees associated with Paasa.
China growth
S&P 500