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Total Value: $916,297.01 Cash Value: $255,141.01 Stock Value: $661,156.00 Shares: 100,000 Price: $9.16
Fund Performance for akademik   May 23, 2012
left curve  price history right curve
   
graph of fund vs. market indexes
AMF m100 S&P 500 Nasdaq
    Graph Period: [7 Days] [30 Days] [90 Days] [6 Months] [1 Year] [2 Years] [3 Years]
[4 Years] [5 Years] [Since Inception]
     
left curve  fund information right curve
   
Fund Manager:    akademik Inception:    Mar 24, 2007
Description:
     
left curve  Club Memberships right curve
   
Name Members  
Smart Investing 82 Overview 
     
left curve   fund positions by sector right curve
   
pie chart
Color Name Portion
Consumer Discretionary 1%
Energy 6%
Financials 10%
Health Care 10%
Industrials 8%
Information Technology 55%
Materials 8%
Telecommunications 2%
     
left curve   fund positions by style right curve
   
pie chart
Color Name Portion
Large Cap Growth 22%
Large Cap Blend 13%
Large Cap Value 55%
Mid Cap Growth 2%
Mid Cap Value 1%
Small Cap Growth 1%
Micro Cap Blend 6%
   
 
  Value Blend Growth  
Large 55% 13% 22% 90%
Medium 1% 0% 2% 3%
Small 0% 0% 1% 1%
Micro 0% 6% 0% 6%
  56% 19% 25%  
     
left curve   recent returns right curve
   
RETURNS
Last Week -0.19%
Last Month -2.71%
Last 3 Months -5.17%
Last 6 Months 5.03%
Last 12 Months -0.43%
Last 2 Years 12.70%
Last 3 Years 32.81%
Last 5 Years -8.39%
Since Inception -8.37%
(Annualized) -1.68%
S&P500 RETURNS
Last Week -0.43%
Last Month -5.60%
Last 3 Months -2.76%
Last 6 Months 15.06%
Last 12 Months 2.42%
Last 2 Years 28.08%
Last 3 Years 58.22%
Last 5 Years -2.98%
Since Inception 2.71%
(Annualized) 0.52%
RETURNS VS S&P500
Last Week 0.23%
Last Month 2.90%
Last 3 Months -2.41%
Last 6 Months -10.03%
Last 12 Months -2.85%
Last 2 Years -15.38%
Last 3 Years -25.42%
Last 5 Years -5.41%
Since Inception -11.08%
(Annualized) -2.19%
     
left curve  fund rankings right curve
    For the six month period ending December 31, 2011 akademik's Mutual Fund outperformed 83.7% of the other funds on our site.
     
   
ALL RANKINGS FOR akademik's Mutual Fund
Date 1 Month 3 Months 6 Months 1 Year 2 Year 3 Year 4 Year
Jun 29, 2007 N/C N/C
Sep 28, 2007 N/C N/C N/C
Dec 31, 2007 52.4% 41.1% N/C
Mar 31, 2008 89.8% 39.4% 35.2% N/C
Jun 30, 2008 68.8% 54.1% 47.9% 47.4%
Sep 30, 2008 48.1% 49.1% 51.5% 44.2%
Dec 31, 2008 27.4% 86.6% Q: Top Quartile 71.8% 70.7%
Mar 31, 2009 40.6% 73.5% 91.0% Q: Top Quartile 86.0% Q: Top Quartile N/C
Jun 30, 2009 42.9% 6.2% 32.0% 64.1% 58.1%
Sep 30, 2009 22.3% 56.8% 17.1% 73.3% 63.9%
Dec 31, 2009 44.9% 66.7% 64.4% 43.6% 70.0%
Mar 31, 2010 53.7% 21.1% 38.1% 17.8% 66.8% N/C
Jun 30, 2010 74.3% 65.9% 43.2% 58.1% 66.5% 61.6%
Sep 30, 2010 35.6% 10.2% 27.5% 26.3% 56.4% 48.9%
Dec 31, 2010 28.0% 38.7% 15.2% 16.3% 27.7% 46.5%
Mar 31, 2011 16.4% 3.5% 7.2% 7.8% 7.0% 28.2% N/C
Jun 30, 2011 71.0% 95.6% Q: Top Quartile 37.8% 17.2% 29.1% 45.1% N/C
Sep 30, 2011 97.8% 87.5% Q: Top Quartile 95.2% Q: Top Quartile 73.4% 51.3% 69.0% 57.8%
Dec 31, 2011 26.8% 40.0% 83.7% Q: Top Quartile 69.9% 40.9% 39.1% 57.7%
     
    N/C = "Not Compliant", and means akademik's Mutual Fund wasn't compliant for that period.
A blue star means akademik's Mutual Fund was in the top 100 funds for that period.
A green star means akademik's Mutual Fund was in the top 25%.
The numbers above are the percentage of compliant funds that akademik's Mutual Fund beat in the given time period, unless it was in the top 100 for that period, in which case the number displays your rank.
     
left curve   alpha/beta vs. S&P500 right curve
   
For an explanation of alpha and beta, see the entry for "beta" in our glossary.
Alpha -2.17%
Beta 0.71
R-Squared 0.83
     
left curve   turnover right curve
   
Last Month 0.00%
Last 3 Months 0.00%
Last 6 Months 0.00%
Last 12 Months 0.00%
     
left curve  manager profile right curve
   
ABOUT akademik
Age: NOT AVAILABLE  Occupation: NOT AVAILABLE 
Other Interests : NOT AVAILABLE     
    [ for more information about akademik ]
     
left curve  about this fund profile right curve
    The fund profiled is managed by akademik. It is a virtual fund on Marketocracy's website www.marketocracy.com that began with $1 million in cash and a Net Asset Value (NAV) of $10 per share.

Marketocracy is the only financial website where you can simulate running your own mutual fund and accurately compare your investing skill to professionally managed mutual funds and other investors. At Marketocracy, you can manage a $1 million virtual portfolio and make trades in an environment that mirrors the trading activity of the real stock market. Our portfolio management tools help you discover your investing strengths and weaknesses and help you become a better investor. You can try different investment strategies and styles to see what works best for you in a virtual environment first, before you invest your real money. It's a great place to learn, and a great place to prove your talent.

If your track record turns out to be one of the best, you will receive special privileges on our website and the best of the best get paid. If you're serious about investing or want to become a better investor, you'll want to signup for a free basic membership and start running your own fund.

    [ To signup for your own virtual fund click here ]
    Who is Marketocracy?

Marketocracy Data Services is a research company whose mission is to find the best investors in the world and then track, analyze, and evaluate their trading activity. The company's affiliate, Marketocracy Capital Management, is the investment advisor for the Marketocracy family of mutual funds and uses the research generated by Marketocracy Data Services.

    [ For more information about Marketocracy ]
   

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