Target2035-FT's Factsheet β€’ July 31, 2026

Target2035-FT avatar

Target2035-FT
πŸ‡¦πŸ‡Ή ETF Smart Portfolio.
245 copiers.
JULY
-1.8%
YEAR TO DATE
+8.63%
1 YEAR
+16.17%
ALL TIME
+24.8%
ANNUALIZED RETURN
+24.8%
TRACK RECORD
1.3 years

About Target2035-FT

π˜Όπ™œπ™œπ™§π™šπ™¨π™¨π™žπ™«π™š π™Žπ™©π™–π™§π™©, π™Žπ™–π™›π™šπ™§ π™π™žπ™£π™žπ™¨π™
This portfolio supports an π™–π™œπ™œπ™§π™šπ™¨π™¨π™žπ™«π™š π™‘π™€π™£π™œ-π™©π™šπ™§π™’ 𝙛π™ͺ𝙩π™ͺπ™§π™š π™₯𝙑𝙖𝙣 with an equity-heavy start and a glide path toward stability. It’s designed by Franklin Templeton as part of eToro’s Target Model.

It begins with 90% equity and 10% fixed income, gradually shifting to 10/90 by mid-2035. This approach reduces risk over time to help preserve your capital near maturity.

Minimum investment: $1,000

    Smart Portfolio Stats

    Type

    Smart Portfolio

    Copiers

    245

    Assets Under Copy

    $1M-$2M

    Risk Score

    3

    Trades

    Most Traded

    iShares USD Treasury Bond 1-3yr UCITS ETFFranklin S&P 500 Paris Aligned Climate UCITS ETFAmundi Core Stoxx Europe 600 UCITS ETFXtrackers MSCI Japan UCITS ETFiShares MSCI EM UCITS ETF USD AccFranklin US Equity UCITS ETF

    Win Rate

    Trade Stats

    Average Profit: +19.95%

    Average Duration: 338 days

    Long Positions: 100%

    Average Leverage: 1x

    Trades during July 2026

    InstrumentProfitDurationClosedOpen RateClose RateSince Closed
    FRUE.L
    BUY FRUE.L
    +29.89%1 year
    1 month ago
    $58.61$76.129+2.97%
    IEMA.L
    BUY IEMA.L
    +23.45%6 months
    1 month ago
    $52.36$64.64-2.44%
    XMJD.L
    BUY XMJD.L
    +34.76%1 year
    1 month ago
    $88.27$118.95+2%
    MEUS.L
    BUY MEUS.L
    +22.79%1 year
    1 month ago
    $298.1$366.05+2.7%
    IBTA.L
    BUY IBTA.L
    +0.74%6 months
    1 month ago
    $5.911$5.954+0.27%
    IBTA.L
    BUY IBTA.L
    +3.74%1 year
    1 month ago
    $5.74$5.955+0.25%
    USPA.L
    BUY USPA.L
    +24.27%1 year
    1 month ago
    $49.6$61.64+3.05%

    Drawdowns

      Worst Drawdowns

      Depth
      Start
      End
      Total months
      -7.26%
      Mar 2026Apr 20261
      -1.83%
      Jun 2026-2

      Performance Metrics

      Score 5.1/10

      Beta

      0.85
      0.85
      0
      0.8
      1.2
      0
      2

      Sharpe Ratio

      1.26
      1.26
      0
      0.5
      1
      2
      2

      Sortino Ratio

      2.22
      2.22
      0
      1
      2
      3
      3

      Jensen's Alpha

      -3.48
      -3.48
      -4
      0
      2
      4.5
      4.5

      Omega Ratio

      0.45
      0.45
      0
      1
      1.5
      2.5
      2.5

      Treynor Ratio

      1.58
      1.58
      0
      0.75
      1.25
      2
      2

      Information Ratio

      -0.99
      -0.99
      -1
      0.3
      0.6
      1
      1

      Calmar Ratio

      2.88
      2.88
      0
      0.3
      0.6
      3
      3

      Diversification

      Sectors Breakdown

      • Sector
      • Total
      • 🧩 Miscellaneous
        77.62%
      • πŸ’΅ Cash
        1.54%
      • πŸ“Š ETFs
        0.74%

      Exchanges Breakdown

      • Exchange
      • Total
      • πŸ‡¬πŸ‡§ LSE
        77.62%
      • πŸ‡©πŸ‡ͺ Xetra ETFs
        0.74%

      Countries Breakdown

      • Country
      • Total

        Dividends

        Dividend Yield

        0%

        0 out of 12 instruments pay dividend.

        0 dividend payments in the next 30 days.

        Dividend Yield Breakdown

        Instrument
        Portfolio Yield
        Company Yield
        Per Share

        Next Dividends

        Stock
        Type
        Date
        Pay Per Share

        Portfolio Holdings

        (As of July 31, 2026)

        Monthly Returns

        Copy Trading does not amount to investment advice. The value of your investments may go up or down. Your capital is at risk. Past performance is not an indication of future results