
I recently got interested in the Permanent Portfolio having read Fail-Safe Investing and then Rowland & Lawson's book. Was pleasantly surprised to find this forum dedicated to it, and looking forward to participate more in the future.
I've searched the forum for information about the topic of drawdown, but came up somewhat blank, so thought I'd create my own.
Does anyone know where I can get any sort of information on drawdown (on end of day basis - ideally by asset type) for the Permanent Portfolio, and even better on an intraday basis (although I realise that's a long shot). I really want to understand the maximum drawdown.
I have an account with AllocateSmartly, and based on the way they calculate it, I know the worst end of month drawdownwas -13% was 03/1982 and worst monthly return was -8.7% in March 1980, and the second worst was, more recently, -8.4% in Oct 2008. Other places online have calculated worst drawdown as nearer 18% and probably these were based on an end of day basis. Although I wonder if intraday, the loss could have been even greater, say 20% or more.
I'm aware in an ideal world, we'd only be checking our portfolios once a year, but it would give me piece of mind to know what the very worst historical drawdown has been. If anyone can give me some pointers, it'd be much appreciated.