Max Drawdown (5Y) Chart

Historical Max Drawdown (5Y) Data

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Date Value
September 30, 2026 41.82%
August 31, 2026 41.82%
July 31, 2026 41.82%
June 30, 2026 41.82%
May 31, 2026 41.82%
April 30, 2026 41.82%
March 31, 2026 41.82%
February 28, 2026 56.21%
January 31, 2026 56.21%
December 31, 2025 63.44%
November 30, 2025 63.44%
October 31, 2025 63.44%
September 30, 2025 63.44%
August 31, 2025 65.78%
July 31, 2025 65.78%
June 30, 2025 65.78%
May 31, 2025 65.78%
April 30, 2025 65.78%
March 31, 2025 65.78%
February 28, 2025 65.78%
January 31, 2025 65.78%
December 31, 2024 65.78%
November 30, 2024 65.78%
October 31, 2024 65.78%
September 30, 2024 65.78%
Date Value
August 31, 2024 65.78%
July 31, 2024 65.78%
June 30, 2024 65.78%
May 31, 2024 65.78%
April 30, 2024 65.78%
March 31, 2024 65.78%
February 29, 2024 65.78%
January 31, 2024 65.78%
December 31, 2023 65.78%
November 30, 2023 65.78%
October 31, 2023 65.78%
September 30, 2023 65.78%
August 31, 2023 65.78%
July 31, 2023 65.78%
June 30, 2023 65.78%
May 31, 2023 65.78%
April 30, 2023 65.78%
March 31, 2023 65.78%
February 28, 2023 65.78%
January 31, 2023 65.78%
December 31, 2022 65.78%
November 30, 2022 65.78%
October 31, 2022 65.78%
September 30, 2022 65.78%
August 31, 2022 65.78%

Max Drawdown Definition

Max drawdown is an indicator of the risk of a portfolio chosen based on a certain strategy. It measures the largest single drop from peak to bottom in the value of a portfolio before a new peak is achieved.

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Max Drawdown (5Y) Range, Past 5 Years

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Minimum
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Maximum
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Average
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Median

Max Drawdown (5Y) Benchmarks

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Aviva Plc 35.51%
Legal & General Group Plc 43.41%
Chesnara Plc --
Admiral Group Plc 55.60%
Beazley Plc (DELISTED) 37.75%