Mohammad Ishfaaq Peerally
Mohammad Ishfaaq Peerally @IshfaaqPeerally

Performance
2025

8.01%0.00-8.01%
-6.47%
November 2025
-6.56%
October 2025
-3.47%
September 2025
3.96%
August 2025
-2.90%
July 2025
2.10%
June 2025
8.01%
May 2025
-0.66%
April 2025
-3.22%
March 2025
-0.84%
February 2025
1.79%
January 2025
Dec December
Nov November
Oct October
Sep September
Aug August
Jul July
Jun June
May May
Apr April
Mar March
Feb February
Jan January
-8.86%
-6.47%
-6.56%
-3.47%
3.96%
-2.90%
2.10%
8.01%
-0.66%
-3.22%
-0.84%
1.79%
2025
16.63%
3.42%
3.22%
-0.35%
2.41%
1.59%
1.48%
-0.92%
4.06%
-4.60%
3.71%
2.40%
-0.58%
2024
9.51%
7.74%
3.89%
-3.81%
-2.71%
-1.82%
4.36%
3.91%
-3.43%
-0.12%
-5.39%
-1.85%
9.64%
2023
-14.79%
-3.50%
10.42%
6.06%
-9.33%
0.52%
4.23%
-8.63%
-0.71%
-7.61%
-0.21%
0
-5.11%
2022
148.38%
1.66%
-2.86%
1.59%
-2.27%
0.50%
-4.70%
-2.63%
0.84%
3.74%
1.25%
3.25%
148.36%
2021
41.18%
7.50%
15.48%
-0.05%
-0.21%
6.74%
7.20%
3.27%
-0.02%
11.72%
-3.65%
-4.12%
-6.48%
2020
29.72%
5.92%
3.91%
1.89%
0.10%
-2.94%
1.16%
7.32%
-9.46%
8.16%
1.34%
1.15%
9.26%
2019
-18.97%
-7.99%
-2.20%
-7.30%
-0.77%
0.20%
3.43%
-0.13%
3.97%
0.89%
-3.19%
-13.61%
7.82%
2018
120.22%
24.31%
16.68%
8.02%
-4.70%
16.92%
-3.52%
3.98%
13.87%
3.84%
1.30%
3.19%
1.74%
2017
-22.84%
4.03%
3.70%
0.26%
-17.49%
0.18%
4.88%
-0.21%
-1.95%
2.23%
-17.73%
2016
Trading since3/16/16 Show More
Past performance is not indicative of future results. Stats are updated on a daily basis at 00:00 GMT.

Breakdown

This breakdown includes 99.0% of this Portfolio

Asset Type

Portfolio Risk (1Y)

Dec
Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Avg. Risk Score (last 7D)5
Daily Max. Drawdown-6.14%
Weekly Max. Drawdown-7.16%
Yearly Max. Drawdown-16.66%

Expected Dividends

Dividend Yield

1.02%

6 Assets

Dividend Logo
Dividend Logo
Dividend Logo

+3 more

Trading

284 Total Trades (12M)
42.44% Avg. Profit
-22.97% Avg. Loss
45.07% Profitable Trades

Frequently Traded

CROX
0% Avg. Profit
-28.70% Avg. Loss
0%Profitable
WISE.L
23.41% Avg. Profit
-7.07% Avg. Loss
78.38%Profitable
FDJU.PA
0.64% Avg. Profit
-17.00% Avg. Loss
15.63%Profitable

Additional Stats

5.15
Trades Per Week
13.5 Months Avg. Holdings time
3/16/16 Active since
49.09% Profitable weeks

Copiers (12M)

665

ESG Score

Get insight into this portfolio’s sustainability using its ESG score.
0
100
49
Medium
46
Environment
50
Social
53
Governance

Involvement Flags

GamblingGambling
EVO.ST
13%
Content, research, tools, and stock symbols on eToro's website are for educational purposes only and do not imply a recommendation or solicitation to engage in any specific investment strategy. All investments involve risk, losses may exceed the amount of principal invested, and past performance does not guarantee future results.