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Marcus Eder

IT-consultant

  • Aug 05, 2001
Funds
(CIAF) Crossy's Industry Analysis Fund
MODEL INCEPTION (08/05/2001) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
16+ YRS 15.88% 7.80% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 12.76% 7.24% Beat the 75th percentile of mutual funds over 10 years.  
5 YRS 20.22% 16.37% Beat the 75th percentile of mutual funds over 5 years.  
3 YRS 7.15% 11.16% Fund has a 3 year track record.  
1 YR 38.22% 15.43% Beat the 75th percentile of mutual funds over 1 year.  
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(CDSF) Crossys diversified Service Fund
MODEL INCEPTION (06/06/2004) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
13+ YRS 14.01% 9.07% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 16.67% 7.24% Beat the top performing mutual fund over 10 years.  
5 YRS 26.37% 16.37% Beat the top performing mutual fund over 5 years.  
3 YRS 21.86% 11.16% Beat the top performing mutual fund over 3 years.  
1 YR 66.07% 15.43% Beat the top performing mutual fund over 1 year.  
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(CEOF) Crossy's Energy Opportunity Fund
MODEL INCEPTION (09/04/2001) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
16+ YRS 7.27% 8.40% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS -2.63% 7.24% Fund has a 10 year track record.  
5 YRS -9.14% 16.37% Fund has a 5 year track record.  
3 YRS -6.82% 11.16% Fund has a 3 year track record.  
1 YR -1.19% 15.43% Fund has a 1 year track record.  
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(CFSF) Crossy Financial Services Fund
MODEL INCEPTION (06/14/2003) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
14+ YRS 11.40% 9.74% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 4.80% 7.24% Fund has a 10 year track record.  
5 YRS 17.73% 16.37% Beat the 75th percentile of mutual funds over 5 years.  
3 YRS 14.36% 11.16% Beat the 75th percentile of mutual funds over 3 years.  
1 YR 33.00% 15.43% Beat the 75th percentile of mutual funds over 1 year.  
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(CLVF) Crossy's Lifesciences Value Fund
MODEL INCEPTION (01/24/2003) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
14+ YRS 17.33% 10.49% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 17.08% 7.24% Beat the top performing mutual fund over 10 years.  
5 YRS 22.85% 16.37% Beat the 75th percentile of mutual funds over 5 years.  
3 YRS -2.28% 11.16% Fund has a 3 year track record.  
1 YR 9.83% 15.43% Fund has a 1 year track record.  
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(CSWF) Crossy Software Fund
MODEL INCEPTION (05/12/2003) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
14+ YRS 17.30% 9.77% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 13.03% 7.24% Beat the 75th percentile of mutual funds over 10 years.  
5 YRS 19.69% 16.37% Beat the 75th percentile of mutual funds over 5 years.  
3 YRS 17.88% 11.16% Beat the 75th percentile of mutual funds over 3 years.  
1 YR 50.47% 15.43% Beat the 75th percentile of mutual funds over 1 year.  
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(CTCF) Crossy's Telecom Fund
MODEL INCEPTION (01/16/2004) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
14+ YRS 9.90% 8.93% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 10.72% 7.24% Beat the 75th percentile of mutual funds over 10 years.  
5 YRS 20.64% 16.37% Beat the 75th percentile of mutual funds over 5 years.  
3 YRS 15.63% 11.16% Beat the 75th percentile of mutual funds over 3 years.  
1 YR 6.57% 15.43% Fund has a 1 year track record.  
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(CTXF) Crossy Technology Fund
MODEL INCEPTION (04/01/2003) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
14+ YRS 15.36% 10.08% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 8.27% 7.24% Beat the 50th percentile of mutual funds over 10 years.  
5 YRS 23.38% 16.37% Beat the 75th percentile of mutual funds over 5 years.  
3 YRS 25.38% 11.16% Beat the top performing mutual fund over 3 years.  
1 YR 44.41% 15.43% Beat the 75th percentile of mutual funds over 1 year.  
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(CWBF) Crossy's Wellbeing Fund
MODEL INCEPTION (08/20/2003) AVG. ANNUAL RETURN S&P TOTAL RETURN Actions
14+ YRS 15.49% 9.59% View Fund Stats Track Fund
RETURN PERIOD (As Of: 12/31/2017) AVG. ANNUAL RETURN S&P TOTAL RETURN ACHIEVEMENTS
10 YRS 10.65% 7.24% Beat the 75th percentile of mutual funds over 10 years.  
5 YRS 11.98% 16.37% Fund has a 5 year track record.  
3 YRS 7.18% 11.16% Fund has a 3 year track record.  
1 YR 8.70% 15.43% Fund has a 1 year track record.  
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Achievements
  • CDSF Beat the top performing mutual fund over 10 years.
    Dec 31, 2017
  • CDSF Beat the top performing mutual fund over 5 years.
    Dec 31, 2017
  • CDSF Beat the top performing mutual fund over 3 years.
    Dec 31, 2017
  • CDSF Beat the top performing mutual fund over 1 year.
    Dec 31, 2017

Crossy Software Fund

CSWF | Fund Positions by Styles
Color Name Allocation Today
Micro Cap : Value 30.00% 1.65%
Unclassified Market Cap : Unclassified Style 21.30% 0.55%
Micro Cap : Blend 13.80% 6.52%
Large Cap : Blend 11.96% -1.55%
Large Cap : Growth 7.51% -0.46%
Small Cap : Blend 4.43% -0.19%
Mid Cap : Blend 4.24% 0.11%
Small Cap : Growth 3.16% -0.40%
Micro Cap : Growth 2.13% -1.48%
Small Cap : Value 1.52% -0.99%
Mid Cap : Growth 0.00% -0.51%
Mid Cap : Value 0.00% -0.61%
CSWF | Price History
CSWF | Fund Information

The information below pertains to model data only.

Fund Manager: Total Model Net Assets:
Marcus Eder $10,443,288.06
Inception: Ticker Symbol: # of Securities:
May 12, 2003 CSWF 45
Description:

New Fund

CSWF | Turnover
Last Month 1.68%
Last 3 Months 29.86%
Last 6 Months 37.49%
Last 12 Months 51.64%
CSWF | 5 Most and Least Profitable
5 MOST PROFITABLE 5 LEAST PROFITABLE
Position Symbol Gains
1 OSTK $1,224,546.90
2 RIOT $1,092,337.89
3 TTWO $868,878.37
4 HURC $689,745.92
5 DWCH $657,984.86
Position Symbol Gains
1 NMRX -$199,964.04
2 SABA -$197,762.83
3 PVSW -$156,572.92
4 CKP -$135,452.56
5 IFUL -$134,442.97
CSWF | Skill Metrics
All Positions
Winning % 56.74%
Avg. Gain/Loss Ratio 2.72
CSWF | Fund Positions by Sectors and Industries
Color Name Allocation Today
Technology 59.28% 1.43%%
Consumer Discretionary 33.21% -1.04%%
Unallocated 4.41% 11.49%%
Industrials 2.98% 3.08%%
Other 0.17% -3.37%%
Energy 0.00% 14.29%%
Health Care 0.00% -1.27%%
CSWF | Recent Returns vs Major Indexes
Beating Today MTD QTD YTD
CSWF 0.00% 5.69% 5.69% 5.69%
S&P 500 0.44% 5.11% 5.11% 5.11%
NASDAQ 0.55% 0.00% 0.00% 0.00%
CSWF | Recent Returns
Period Returns S&P 500 Returns Returns VS S&P 500
Last Week -1.85% 0.00% -1.85%
Last Month 4.85% 3.89% 0.96%
Last 3 Months 21.93% 8.69% 13.24%
Last 6 Months 38.90% 13.89% 25.01%
Last 12 Months 58.63% 25.12% 33.51%
Last 2 Years 108.86% 55.40% 53.46%
Last 3 Years 79.47% 45.98% 33.49%
Last 5 Years 144.84% 108.15% 36.69%
Last 10 Years 301.87% 158.32% 143.55%
Since Inception 944.33% 298.64% 645.69%
(Annualized) 17.30% 9.86% 7.44%
Data as of: 01/20/2018
CSWF | Alpha/Beta VS. S&P 500
Alpha 6.31%
Beta 1.18
R-Squared 0.55
CSWF | 5 Best and Worst Returns
5 BEST 5 WORST
Position Symbol Inception Return
1 OSTK 261.40%
2 RIOT 245.10%
3 QADA 198.97%
4 HSTM 184.38%
5 FORTY 154.42%
Position Symbol Inception Return
1 DENR -97.35%
2 ATEA -61.51%
3 TXHD -58.39%
4 SGLB -54.83%
5 SPNS -49.29%