ILXQuant Three-Fund Core Index

The most straightforward globally diversified portfolio -- US stocks, international stocks, and bonds. Low complexity, broad market coverage, and a return profile that is surprisingly difficult to improve upon over the long run. '

Index identifier
ILXTF3
Category
Allocation
Universe
US and International ETFs (VTI, EFA, AGG)
Currency
USD
Inception
2004-01-05
Rebalancing
Yearly
Index fee
0.10% p.a.
Reference benchmark
S&P 500 (SPY)

Performance and risk

All figures below are measured over a trailing window of up to 1,260 trading days (approximately five years), not since index inception.

Performance and risk — 2021-10-13 to 2026-08-13
Annualised return+9.88%
Sharpe ratio0.72
Calmar ratio0.41
Volatility13.63%
Maximum drawdown-24.23%
Return, 1 month+3.16%
Return, 3 months+3.74%
Return, 1 year+17.57%
Return, year to date+11.37%

Full performance history, drawdown analysis, rolling risk metrics and portfolio breakdowns for this index are available in the ILX Quant platform.