Short-Term High Yield Bond (SHYB)

Report Date: May 2022

Index Description

Growth of 1,000

Short-Term High Yield Bond (SHYB) represents a quantitatively-based, absolute return, multi-strategy index. Designed to enhance active premium and dynamic risk protection, this index utilizes multiple uncorrelated tactical strategies with allocations to high yield assets. Investment solutions tracking the index will benefit from transparency, high liquidity, low degree of volatility, and positive response to rising or falling interest rates.

 

For more information on and Profitscore's other indicies, please visit www.ProfitScoreIndex.com

Risk/Return

Key Features

  • Liquid transparent investments
  • Tactical models to minimize systematic risk
  • Multiple models to mitigate model specific risk
  • Allocates to HY credit default swaps
  • Long and short positions

Monthly Returns Live Performance Data

  JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC YEAR
2022 0.03 -0.58 -0.53 -1.53 2.53 -0.13
2021 -0.37 -0.25 1.45 0.64 0.24 0.88 0.19 0.00 -0.08 -0.49 0.42 0.16 2.81
2020 -0.58 -0.54 -0.28 0.00 0.00 -2.06 3.02 -0.48 1.47 -0.60 1.26 1.48 2.62
2019 1.90 0.47 1.50 -0.10 -1.23 2.99 0.02 2.50 -0.21 0.06 0.36 0.53 9.06
2018 -0.12 -0.34 -0.83 0.20 -0.34 0.02 1.33 0.78 -0.04 -1.17 0.40 -2.95 -3.08
2017 0.57 1.53 -1.38 0.39 0.61 -0.44 0.51 -0.42 0.47 0.01 -1.12 0.20 0.90
2016 -3.07 -1.15 3.41 -0.36 -1.27 2.79 0.51 1.11 -0.18 0.77 6.25 1.40 10.34
2015 1.14 2.21 -1.77 0.66 -1.03 0.79 1.85 3.46 0.46 2.90 -0.08 0.01 10.99
2014 0.38 2.87 -0.80 -0.06 1.21 0.61 0.21 0.93 -1.67 0.97 -2.19 -1.01 1.35
2013 1.10 -1.41 -0.47 1.95 1.87 1.12 4.47 -0.98 -0.13 2.51 -0.81 0.69 10.20
2012 2.28 -0.46 1.66 0.87 2.27 0.52 0.43 -1.21 -0.35 1.64 1.81 0.12 9.93
2011 0.55 1.57 0.99 3.04 8.09 8.84 1.50 -0.07 26.81

Important information: Past performance of a ProfitScore index is not an indication of future results. You cannot invest directly in any ProfitScore index. Performance of any ProfitScore index does not represent actual fund or portfolio performance. A fund or portfolio may differ significantly from the securities included in an index. Index performance does not reflect any management fees, transaction costs or other expenses that would be incurred by a portfolio or fund, or brokerage commissions on transactions in fund shares. Such fees, expenses and commissions would reduce returns.

Contact

John McClure, President & CIO
phone ::
208-489-5286
email ::
john.mcclure@profitscore.com

Short-Term High Yield Bond (SHYB)

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Reward Statistics (Annual) Short-Term High Yield Bond (SHYB) Barclays US Agg Bond Barclay Hedge Fund Index
Compound ROR 7.12% 2.21% 4.38%
Average ROR 7.38% 2.31% 4.57%
Max Gain 26.81% 9.66% 12.51%
Consecutive Wins 7 5 3
% Winning Years 83.33% 75.00% 66.67%
Average Gain 8.50% 3.98% 8.24%
Gain Deviation 5.52% 2.09% 3.65%
Risk Statistics (Monthly) Short-Term High Yield Bond (SHYB) Barclays US Agg Bond Barclay Hedge Fund Index
Standard Deviation 1.71% 1.01% 1.82%
Worst Loss -3.07% -3.81% -9.16%
Consecutive Losses 3 5 5
% Losing Months 36.84% 42.86% 36.84%
Average Loss -0.81% -0.68% -1.33%
Loss Deviation 0.72% 0.75% 1.57%
Risk/Reward Statistics (Annual) Short-Term High Yield Bond (SHYB) Barclays US Agg Bond Barclay Hedge Fund Index
Sharpe Ratio (1%) 1.03 0.36 0.55
Sortino Ratio (1%) 2.46 0.49 0.75

Past 36 Months

Investment Allocation