Strategy Report: ZenCreditSpread — HOLDOUT (out-of-sample 20250101-20260605)

| Strategy Description

Key StatisticsBacktestLiveBacktestLive
Runtime Days521{{$KPI-DAYS-LIVE}} Drawdown12.4%{{$KPI-LIVE-DRAWDOWN}}
Turnover2%{{$KPI-LIVE-TURNOVER}} Probabilistic SR60%{{$KPI-LIVE-PSR}}
CAGR24.2%{{$KPI-LIVE-CAGR}} Sharpe Ratio0.8{{$KPI-LIVE-SHARPE}}
Capacity (USD)3.7B Sortino Ratio0.6{{$KPI-LIVE-SORTINO}}
Trades per Day0.4{{$KPI-LIVE-TRADES-PER-DAY}} Information Ratio1.3{{$KPI-LIVE-INFORMATION-RATIO}}
Drawdown Recovery210{{$KPI-LIVE-DRAWDOWN-RECOVERY}}
Monthly Returns
Cumulative Returns
Annual Returns
Returns Per Trade
Asset Allocation
Drawdown
Strategy Report Summary: ZenCreditSpread — HOLDOUT (out-of-sample 20250101-20260605)
Daily Returns
Rolling Portfolio Beta
Rolling Sharpe Ratio
Leverage
Long-Short Exposure
Strategy Report Summary: ZenCreditSpread — HOLDOUT (out-of-sample 20250101-20260605)
AI Boom 2022-Present
Strategy Report Summary: ZenCreditSpread — HOLDOUT (out-of-sample 20250101-20260605)
Parameters
dte_max 4.0 sl_pct 0.0
spread_width_pts 600.0 start_date 20250101
end_date 20260605