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Market Statistics - January 2025

Looking for reliable data on recent market performance? Here you’ll find a PDF document of the monthly statistics for the various Canadian, U.S. and international markets that we follow.

All figures in CAD unless mentioned otherwise.

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statistics

Model Portfolios - January 31, 2025

These models give you a sense of how we build ETF portfolios for our clients.

All returns are in Canadian dollars and the portfolios are rebalanced annually.

Model Portfolio Performance 40/60
Year-to-Date Return 2.21%
1-Year Total Return 14.98%
3-Year Annualized Return 5.20%
5-Year Annualized Return 5.15%
10-Year Annualized Return 5.10%
20-Year Annualized Return 5.71%
Worst Stock Market Drawdown (06/01/2007-02/28/2009) -14.00%
Drawdown - Time to Recovery (from the bottom) 7 months
20-Year Annualized Standard Deviation 5.98%
View portfolios - January 2025
40/60
Model Portfolio Performance 50/50
Year-to-Date Return 2.46%
1-Year Total Return 17.08%
3-Year Annualized Return 6.28%
5-Year Annualized Return 6.36%
10-Year Annualized Return 5.99%
20-Year Annualized Return 6.23%
Worst Stock Market Drawdown (06/01/2007-02/28/2009) -19.31%
Drawdown - Time to Recovery (from the bottom) 18 months
20-Year Annualized Standard Deviation 6.74%
View portfolios - January 2025
50/50
Model Portfolio Performance 60/40
Year-to-Date Return 2.71%
1-Year Total Return 19.22%
3-Year Annualized Return 7.37%
5-Year Annualized Return 7.56%
10-Year Annualized Return 6.88%
20-Year Annualized Return 6.74%
Worst Stock Market Drawdown (06/01/2007-02/28/2009) -24.34%
Drawdown - Time to Recovery (from the bottom) 20 months
20-Year Annualized Standard Deviation 7.59%
View portfolios - January 2025
60/40
Model Portfolio Performance 70/30
Year-to-Date Return 2.96%
1-Year Total Return 21.39%
3-Year Annualized Return 8.46%
5-Year Annualized Return 8.76%
10-Year Annualized Return 7.77%
20-Year Annualized Return 7.24%
Worst Stock Market Drawdown (06/01/2007-02/28/2009) -29.09%
Drawdown - Time to Recovery (from the bottom) 22 months
20-Year Annualized Standard Deviation 8.49%
View portfolios - January 2025
70/30
Model Portfolio Performance 80/20
Year-to-Date Return 3.21%
1-Year Total Return 23.59%
3-Year Annualized Return 9.55%
5-Year Annualized Return 9.96%
10-Year Annualized Return 8.65%
20-Year Annualized Return 7.73%
Worst Stock Market Drawdown (06/01/2007-02/28/2009) -33.58%
Drawdown - Time to Recovery (from the bottom) 26 months
20-Year Annualized Standard Deviation 9.42%
View portfolios - January 2025
80/20
Model Portfolio Performance 100/0
Year-to-Date Return 3.72%
1-Year Total Return 28.09%
3-Year Annualized Return 11.74%
5-Year Annualized Return 12.36%
10-Year Annualized Return 10.41%
20-Year Annualized Return 8.67%
Worst Stock Market Drawdown (06/01/2007-02/28/2009) -41.83%
Drawdown - Time to Recovery (from the bottom) 48 months
20-Year Annualized Standard Deviation 11.40%
View portfolios - January 2025
100/0

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In order to keep our fees low and our service level high, PWL’s Bender, Bender & Bortolotti team is only able to work with clients with household accounts totaling $1 million or more. If you do not meet our minimum, please visit the Canadian Couch Potato and Canadian Portfolio Manager websites for a host of resources that we offer for free to all investors.