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INDEX TOP10

BESTCOPYTRADE

10054.12

(-0.74 %)

Л
  • Total Return YTD

    Daily change

    +42.03 %

    (0.00 %)

  • Total Return YTD

    Daily change

    +11.68 %

    (0.00 %)

  • Total Return YTD

    Daily change

    +18.37 %

    (+0.14 %)

  • Total Return YTD

    Daily change

    +8.82 %

    (0.00 %)

  • Total Return YTD

    Daily change

    +7.77 %

    (0.00 %)

  • Total Return YTD

    Daily change

    +10.74 %

    (+0.03 %)

  • Total Return YTD

    Daily change

    +6.29 %

    (+0.01 %)

  • Total Return YTD

    Daily change

    +20.23 %

    (0.00 %)

  • Total Return YTD

    Daily change

    +13.15 %

    (+0.01 %)

  • Total Return YTD

    Daily change

    +1.66 %

    (+0.01 %)

Ы

RScore is an integral indicator for measuring the effectiveness of a trading strategy. The formula to calculate the indicator was defined empirically and represents the following combination of metrics: (Sharp + Sortino + Calmar + Alpha x 5) x 100 + 1000. The higher the rating score, the more attractive the strategy is in terms of its efficiency.

Ann. return is one of the most important indicators of a trader's success. It is computed based on the calculation of the median average for the sample of trader's portfolio trading data, gathered on the monthly basis. The measured number of the median average for the portfolio is multiplied by 12 to obtain its annual value. Thus, Median Return = Median average * 12.

Sharp ratio is an indicator of the effectiveness of an investment strategy, which is calculated as the ratio of the average portfolio return (Median Return) adjusted for the risk-free rate to the standard deviation of the portfolio.

Sortino ratio is an indicator of the effectiveness of an investment strategy, which is calculated as the ratio of the average portfolio return (Median Return) adjusted for the risk-free rate to the standard deviation of the portfolio, excluding positive deviations in the fluctuations in the value of the investment portfolio.

Detailed information about the rating calculation is presented in the trader's report. You can view the report by clicking on the trader's name or open the report using the pdf format icon in the rating.

The rating includes only traders with a history of trading on Etoro for at least 3 years and it must be continuous trading. The rating is also based on the increased requirements for the trader to control the portfolio volatility and its maximum drawdown. Therefore, if a trader makes a portfolio drawdown of more than 70%, his portfolio, as a rule, will not be included in the rating.

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calculated on 1st of September

Traders Portfolio reports Etoro link RScore
RScore - is integral indicator for measuring the effectiveness of a trading strategy. The formula to calculate of the indicator was defined empirically and represents the following combination of metrics: (Sharp + Sortino + Calmar + Alpha x 5) x 100 + 1000. The higher the rating score, the more attractive the strategy is in terms of its efficiency.
Median Return
M Return - is one of the most important indicators of a trader's success. It is computed based on the calculation of the median average for the sample of trader's portfolio trading data, gathered on the monthly basis. The measured number of the median average for the portfolio is multiplied by 12 to obtain its annual value. Thus, Median Return = Median average * 12.
Sharpe
Sharp - ratio is an indicator of the effectiveness of an investment strategy, which is calculated as the ratio of the average portfolio return (Ann. Return) adjusted for the risk-free rate to the standard deviation of the portfolio.
Sortino
Sortino - is an indicator of the effectiveness of an investment strategy, which is calculated as the ratio of the average portfolio return (Ann. Return) adjusted for the risk-free rate to the standard deviation of the portfolio, excluding positive deviations in the fluctuations in the value of the investment portfolio.
Calmar
Calmar - is an indicator of the effectiveness of an investment strategy, which is calculated as the average value of the return on an investment strategy (Ann. Return) to the value of its maximum drawdown.
Alpha
Alpha - Jensen's alpha (or Jensen's Performance Index, ex-post alpha) is used to determine the abnormal return of a security or portfolio of securities over the theoretical expected return. The Jensen's alpha aims to do this and is calculated using a simple formula: Jensen's alpha = Portfolio return - [Risk Free Rate + Portfolio Beta * (Market Return - Risk Free Rate)]
Beta
Beta -
Max DD
Max DD - a maximum drawdown (MDD) is the maximum observed loss from a peak to a trough of a portfolio, before a new peak is attained. Maximum drawdown is an indicator of downside risk over a specified time period.
Volatility
Volatility - It is a rate at which the price of a security increases or decreases for a given set of returns. Volatility is measured by calculating the standard deviation of the annualized returns over a given period of time.
CAGR
CAGR - compound annual growth rate (CAGR) is the rate of return that would be required for an investment to grow from its beginning balance to its ending balance, assuming the profits were reinvested at the end of each year of the investment's lifespan.
corr to SnP
Corr to SnP - a correlation is a statistical measurement of the relationship between two variables (for our case SP500 index and traders portfolio). Possible correlations range from +1 to –1. A correlation of +1 indicates a perfect positive correlation, meaning that both variables move in the same direction together.
Age (years)
Age (years) - Shows a duration in years how long traders portfolio introduced on a platform. Then longer period is then more trust in trading strategy can be expressed. In the common cases, we do not consider a portfolio with a track record of fewer than 3 years. An exception exists only in respect to back-tested trading strategies.
Copiers
Copiers - shows how many copiers have a trader on the Etoro platform on a specific date
 cphequities
67% of retail CFD accounts lose money
2025 29.70% 1.77 4.82 2.66 20.00% 0.57 -11.18% 16.78% 33.41% -0.53 4.4 21876
 olivierdanvel
67% of retail CFD accounts lose money
1859 8.40% 3.42 3.42 1.32 8.78% -0.03 -6.36% 2.46% 10.54% -0.16 4.5 7594
 eddyb123
67% of retail CFD accounts lose money
1688 29.22% 0.82 3.47 1.78 16.18% 0.74 -16.39% 35.43% 68.04% 0.31 5.3 10230
 liborvasa
67% of retail CFD accounts lose money
1686 23.34% 1.49 3.11 1.64 12.47% 0.76 -14.23% 15.69% 21.52% 0.66 7.4 3530
 alderique
67% of retail CFD accounts lose money
1684 24.48% 1.58 3.24 1.61 8.30% 0.91 -15.20% 15.47% 23.81% 0.88 4.8 1111
 iiapad0ks
67% of retail CFD accounts lose money
1684 33.60% 1.47 2.88 1.67 16.30% 1.00 -20.08% 22.81% 29.19% 0.74 3.8 230
 rubymza
67% of retail CFD accounts lose money
1674 24.24% 1.61 3.09 1.47 11.52% 0.73 -16.52% 15.04% 21.49% 0.71 5.2 20972
 gserdan
67% of retail CFD accounts lose money
1654 43.56% 1.55 2.53 1.11 27.03% 0.93 -39.24% 28.15% 22.66% 0.51 4.5 4879
 harryh1993
67% of retail CFD accounts lose money
1642 25.44% 1.01 3.29 1.70 8.60% 0.93 -14.99% 25.29% 49.81% 0.56 4.7 2468
 petrbalas
67% of retail CFD accounts lose money
1629 31.92% 1.06 2.77 1.74 14.49% 1.01 -18.30% 30.16% 37.47% 0.56 3.8 159
 jeppekirkbonde
67% of retail CFD accounts lose money
1608 27.30% 1.15 3.02 1.32 11.86% 1.00 -20.63% 23.83% 33.44% 0.57 8.1 24479
 empiricist
67% of retail CFD accounts lose money
1607 24.54% 1.54 2.98 1.07 9.58% 0.84 -22.91% 15.93% 19.67% 0.87 3.9 140
 reinhardtcoetzee
67% of retail CFD accounts lose money
1592 25.62% 1.27 3.01 1.26 7.67% 1.01 -20.33% 20.17% 33.73% 0.74 5.1 3222
 richardstroud
67% of retail CFD accounts lose money
1501 19.56% 1.16 2.34 0.86 13.02% 0.38 -22.63% 16.92% 22.96% 0.39 3.4 18252
 marianopardo
67% of retail CFD accounts lose money
1499 23.52% 1.16 2.54 0.82 9.38% 0.93 -28.56% 20.24% 24.48% 0.63 7.8 9637
 spxhedgefund
67% of retail CFD accounts lose money
1498 14.16% 1.19 2.18 1.34 5.47% 0.51 -10.54% 11.92% 11.29% 0.74 3.6 12
 nique3
67% of retail CFD accounts lose money
1484 53.28% 0.75 1.65 0.73 34.10% 1.10 -73.26% 70.89% 61.51% 0.25 4.0 74
 knw500
67% of retail CFD accounts lose money
1476 20.64% 1.05 2.22 0.99 9.96% 0.20 -20.83% 19.70% 23.43% 0.55 3.7 3818
 conhoulihan
67% of retail CFD accounts lose money
1423 26.88% 0.85 2.27 0.82 5.70% 1.14 -32.61% 31.59% 36.18% 0.54 4.8 1079
 emfasciani
67% of retail CFD accounts lose money
1409 30.84% 0.30 1.23 0.45 42.29% -0.67 -69.15% 102.42% 105.09% -0.10 5.0 1148
 financial_man
67% of retail CFD accounts lose money
1370 20.10% 0.92 2.01 0.59 3.56% 0.93 -33.88% 21.88% 20.27% 0.70 3.9 801
 onegirl
67% of retail CFD accounts lose money
1352 18.84% 0.83 1.83 0.77 1.95% 1.16 -24.35% 22.74% 23.58% 0.72 6.8 1620
 gaspersopi
67% of retail CFD accounts lose money
1347 21.72% 0.72 1.66 0.86 4.55% 0.96 -25.15% 30.35% 43.39% 0.52 3.9 1439
 big-profits
67% of retail CFD accounts lose money
1346 8.76% 0.17 1.49 0.79 20.35% -0.73 -11.06% 52.96% 34.76% -0.20 5.8 435
 willbill0412
67% of retail CFD accounts lose money
1337 20.16% 0.82 1.65 0.87 0.69% 1.12 -23.27% 24.69% 25.49% 0.77 3.8 9071
 emge2116
67% of retail CFD accounts lose money
1323 15.96% 0.77 1.77 0.43 5.23% 0.60 -36.74% 20.79% 24.29% 0.45 4.5 1920
 jonasbarrelov
67% of retail CFD accounts lose money
1315 20.70% 0.90 1.35 0.62 5.65% 1.03 -33.32% 23.12% 15.35% 0.60 7.8 217
 alexandrucinca
67% of retail CFD accounts lose money
1312 16.32% 0.74 1.49 0.72 3.40% 0.80 -22.56% 22.14% 19.53% 0.48 8.7 1106
 olenal
67% of retail CFD accounts lose money
1310 19.08% 0.58 1.58 0.55 7.95% 0.78 -34.92% 33.13% 37.62% 0.34 6.4 1569
 misterg23
67% of retail CFD accounts lose money
1304 20.28% 0.36 1.32 0.39 19.42% 0.06 -52.24% 55.94% 36.16% 0.01 7.4 7667
 equitiesfund
67% of retail CFD accounts lose money
1299 9.12% 0.68 1.55 0.84 -1.56% 0.69 -10.89% 13.46% 11.89% 0.76 6.1 158
 jaynemesis
67% of retail CFD accounts lose money
1269 18.54% 0.52 1.32 0.34 10.06% 0.60 -53.85% 35.54% 47.40% 0.23 7.6 28919
 deanomeffert
67% of retail CFD accounts lose money
1263 22.74% 0.78 1.09 0.37 7.61% 0.87 -60.82% 29.01% 6.25% 0.51 3.8 669
 stebliss
67% of retail CFD accounts lose money
1251 26.16% 0.44 1.15 0.39 10.77% 1.03 -67.10% 59.90% 33.74% 0.24 7.5 680
 wesl3y
67% of retail CFD accounts lose money
1249 24.18% 0.51 1.18 0.55 5.21% 1.36 -44.24% 47.78% 36.09% 0.41 6.4 19999
 liamdavies
67% of retail CFD accounts lose money
1245 21.60% 0.60 0.87 0.32 13.39% 0.53 -68.46% 36.23% 19.40% 0.20 7.9 2198
 daniel4653
67% of retail CFD accounts lose money
1242 12.42% 0.69 1.15 0.30 5.55% 0.40 -40.88% 17.89% 5.82% 0.39 3.6 1467
 capimatt
67% of retail CFD accounts lose money
1228 9.36% 0.56 1.10 0.46 3.26% 0.36 -20.26% 16.65% 15.66% 0.37 3.6 18
 ishfaaqpeerally
67% of retail CFD accounts lose money
1217 15.06% 0.22 1.12 0.53 6.00% 0.48 -28.66% 67.39% 40.67% 0.88 5.4 1093
 dafne17
67% of retail CFD accounts lose money
1213 21.48% 0.57 1.18 0.35 0.50% 1.18 -61.06% 38.07% 19.54% 0.51 3.9 563
 alnayef
67% of retail CFD accounts lose money
1210 13.92% 0.45 0.76 0.35 10.74% 0.18 -39.57% 30.69% 25.28% 0.08 5.2 2102
 jmilazzo
67% of retail CFD accounts lose money
1202 11.34% 0.63 0.98 0.38 0.71% 0.63 -29.74% 18.14% 4.36% 0.51 5.1 20
 canzhao
67% of retail CFD accounts lose money
1192 12.12% 0.36 0.88 0.34 6.84% 0.31 -36.17% 34.00% 30.45% 0.14 4.5 5273
 overit
67% of retail CFD accounts lose money
1176 12.48% 0.50 0.81 0.34 2.40% 0.62 -37.14% 25.02% 19.01% 0.36 5.7 693
 arash007
67% of retail CFD accounts lose money
1169 7.92% 0.10 1.25 0.37 -0.69% 0.59 -21.12% 82.13% 24.89% 0.10 7.0 621
 geofflee2006
67% of retail CFD accounts lose money
1168 14.04% 0.42 0.89 0.48 -2.00% 0.90 -29.47% 33.60% 35.56% 0.42 4.5 850
 campervans
67% of retail CFD accounts lose money
1152 15.60% 0.38 1.02 0.45 -6.67% 1.51 -34.89% 40.64% 37.32% 0.54 6.3 1978
 omaretsa
67% of retail CFD accounts lose money
1141 7.44% 0.11 0.27 0.17 17.29% -0.58 -44.51% 69.72% 61.43% -0.13 4.4 391
 rolando34
67% of retail CFD accounts lose money
1036 8.10% 0.19 0.64 0.23 -13.97% 1.19 -35.31% 42.74% 56.63% 0.40 5.4 472
 bamine15
67% of retail CFD accounts lose money
1032 11.28% 0.12 0.50 0.18 -9.67% 1.20 -63.74% 90.77% 83.15% 0.21 4.3 39
 marcello61
67% of retail CFD accounts lose money
982 1.92% 0.09 0.19 0.04 -9.96% 0.65 -43.64% 22.23% 11.08% 0.47 4.2 247
 openwings
67% of retail CFD accounts lose money
942 7.74% 0.10 0.27 0.10 -20.93% 1.68 -76.81% 76.68% -0.41% 0.34 4.4 109

67% of retail investor accounts lose money when trading CFDs with this provider. You should
consider whether you can afford to take the high risk of losing your money.

Past performance is not an indication of future results.
Trading history presented is less than 5 complete years and may not suffice as basis for investment decision.

Copy trading is a portfolio management service, provided by eToro (Europe) Ltd.,
which is authorised and regulated by the Cyprus Securities and Exchange Commission.