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Performance analysis of Churchill Capital Corp V (CCV)

Annual Return

Over the past 3 years, CCV has had an average annual return of +2.81%, underperforming the benchmark SPY, which returned +2.84% annual.

Over the past 5 years, CCV has had an average annual return of +2.44%, underperforming the benchmark SPY, which returned +3% annual.

Since Feb 5, 2021, CCV has had an average annual return of -5.75%, underperforming the benchmark SPY, which returned +6.05% annual.

202320222021
+4.57%+1.02%-19.28%

Monthly Return

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnually Total
2023+1.10%-0.19%+0.50%-0.10%+0.50%+0.49%+0.68%+0.98%+0.59%-0.06%+4.57%
2022-0.81%+0.10%+0.61%+0.20%-0.51%+0.31%+0.51%+0%+0.20%+0.71%+0.60%-0.90%+1.02%
2021-12.88%-6.97%+1.32%-1.40%+2.03%-2.19%-1.11%+0.41%+0.51%+0.20%-0.10%-19.28%

Drawdown analysis of Churchill Capital Corp V (CCV)

The maximum drawdown for the CCV was -20.67%, occurring on Aug 24, 2021. This drawdown has not yet recovered.

The current CCV drawdown is -14.73%.

Since Feb 5, 2021 CCV has experienced the following drawdowns:

  • 20% or more: 1 time
  • 10% or more: 1 time
DepthStartTo BottomBottomTo RecoverEndTotal
-20.67%Feb 5, 2021138Aug 24, 2021OngoingOngoingOngoing