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7,284 portfolios
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Portfolio
Risk
Diversification
Return
Drawdown
Risk Growth
Diversification Moderately Diversified
Return 14.5% p.a.
Max. Drawdown -34.2%
Risk Balanced
Diversification Low Diversity
Return 15.5% p.a.
Max. Drawdown -24.9%
Risk Growth
Diversification Low Diversity
Return 25.7% p.a.
Max. Drawdown -32.8%
Risk Growth
Diversification Low Diversity
Return 27.4% p.a.
Max. Drawdown -41.9%
Risk Balanced
Diversification Broadly Diversified
Return 15.9% p.a.
Max. Drawdown -8.9%
Risk Growth
Diversification Low Diversity
Return 16.8% p.a.
Max. Drawdown -33.1%
Risk Cautious
Diversification Moderately Diversified
Return 11.9% p.a.
Max. Drawdown -16.9%
Risk Balanced
Diversification Highly Diversified
Return 8.6% p.a.
Max. Drawdown -28.4%
Risk Growth
Diversification Low Diversity
Return 12.6% p.a.
Max. Drawdown -29.2%
Risk Growth
Diversification Moderately Diversified
Return 17.5% p.a.
Max. Drawdown -36.0%
SPYY5MVLSPYL
Europe DevelopedJun 9, 2026
Risk Balanced
Diversification Moderately Diversified
Return 23.1% p.a.
Max. Drawdown -21.2%
VFVTECXEF+2
CanadaMay 29, 2026
Risk Balanced
Diversification Broadly Diversified
Return 16.9% p.a.
Max. Drawdown -27.4%