---
description: Review and analyze investment portfolio performance and allocation
---

# Portfolio Review

Comprehensive portfolio analysis and optimization recommendations.

## Portfolio Analysis

1. **Performance Metrics**
   - Absolute returns (YTD, 1Y, 3Y, 5Y)
   - Risk-adjusted returns (Sharpe ratio, Sortino ratio)
   - Alpha and beta vs. benchmarks
   - Maximum drawdown analysis
   - Volatility metrics

2. **Asset Allocation**
   - Current allocation breakdown
   - Asset class exposure (stocks, bonds, cash, alternatives)
   - Geographic diversification
   - Sector and industry weightings
   - Market cap distribution

3. **Risk Assessment**
   - Portfolio volatility
   - Correlation analysis
   - Concentration risk
   - Factor exposures (value, growth, momentum, quality)
   - Downside protection analysis

4. **Holdings Review**
   - Individual position performance
   - Position sizing appropriateness
   - Overlap and redundancy
   - Tax efficiency considerations
   - Cost analysis (expense ratios, trading costs)

## Optimization Recommendations

1. **Rebalancing Needs**
   - Deviation from target allocation
   - Rebalancing opportunities
   - Tax-loss harvesting potential
   - Trim/add recommendations

2. **Diversification Improvements**
   - Concentration risk mitigation
   - Correlation reduction opportunities
   - Geographic/sector gaps
   - Alternative asset considerations

3. **Performance Enhancement**
   - Underperforming position evaluation
   - Upgrade candidates
   - New opportunity identification
   - Cost reduction opportunities

## Output

Deliver comprehensive portfolio review with:
- Executive summary of current state
- Performance analysis vs. benchmarks
- Risk profile assessment
- Asset allocation recommendations
- Specific rebalancing actions
- Position-level recommendations (hold/trim/sell/add)
- Expected impact of changes
- Implementation roadmap with priorities

Focus on actionable insights aligned with investment objectives and risk tolerance.

## Standard Signal Output

All analysis concludes with this standardized block:

```
╔══════════════════════════════════════════════╗
║              INVESTMENT SIGNAL               ║
╠══════════════════════════════════════════════╣
║ Signal:      BULLISH / NEUTRAL / BEARISH     ║
║ Confidence:  HIGH / MEDIUM / LOW             ║
║ Horizon:     SHORT / MEDIUM / LONG-TERM      ║
║ Score:       X.X / 10                        ║
╠══════════════════════════════════════════════╣
║ Action:      BUY / HOLD / SELL               ║
║ Conviction:  STRONG / MODERATE / WEAK        ║
╚══════════════════════════════════════════════╝
```

**Score Guide**: 8.0–10.0 Strongly Bullish | 6.0–7.9 Moderately Bullish | 4.0–5.9 Neutral | 2.0–3.9 Moderately Bearish | 0.0–1.9 Strongly Bearish
**Confidence**: HIGH (strong data, clear signals) | MEDIUM (mixed signals) | LOW (limited data, conflicting signals)
**Horizon**: SHORT-TERM (1 week–3 months) | MEDIUM-TERM (3 months–1 year) | LONG-TERM (1+ years)
