US Market Bonds (BND)
VS
Harry Brown Permanent Portfolio


Total Return by Period

Updated: Nov 12, 2025

Name1 Day1 Week28 Days90 Days1 Year3 Years5 Years10 Years
Harry Brown Permanent Portfolio0.41%1.73%0.25%8.74%17.83%44.23%29.35%85.39%
US Market Bonds (BND)-0.04%0.55%-0.28%1.29%2.73%4.20%-15.18%-8.14%

Total Return by Year

Name2024202320222021202020192018201720162015
Harry Brown Permanent Portfolio11.39%11.40%-13.69%28.48%16.49%16.54%-1.62%10.63%5.99%-2.86%
US Market Bonds (BND)1.37%5.67%-13.07%-1.88%7.69%8.80%-0.11%3.55%2.52%0.57%

10 Year Performance

NameTotal ReturnAnnualized ReturnCAGRMax DrawdownSharpe RatioSortino RatioCalmar RatioUlcer Index
Harry Brown Permanent Portfolio85.39%6.47%6.38%-30.24%0.460.650.210.06
US Market Bonds (BND)-8.14%-0.70%-0.85%-26.44%-0.67-0.84-0.030.12

Total Return

No Taxes, No Rebalancing.

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