April 2025 Scorecard
- catherine2042
- May 26
- 2 min read
Anchor Pacific’s April 2025 investment scorecard. See asset class performance, 3-year asset class risk and return, macro summary (key index levels and rates), and yield curves.

To download the complete Monthly Investment Scorecard, please click on the link below:
Summary of Returns
Month-over-Month
Positive returns for 5 of 20 asset classes
Top 3
Gold 5.42% | Canadian Dollar 4.38% | International Developed Equities (EAFE) 4.01%
Bottom 3
Commodities (8.87%) | US REITs (2.44%) | US Small Cap Equities (2.32%)
Canadian Markets
Equities (0.20%) | Bonds (0.66%) | IG Credit (0.42%) | CAD 4.38%
Past 3 months
Positive returns for 10 of 20 asset classes
Top 3
Gold 17.49% | International Developed Equities (EAFE) 6.36% | Canadian Dollar 5.56%
Bottom 3
US Small Cap Equities (13.77%) | Commodities (7.86%) | US Large Cap Equities (7.58%)
Canadian Markets
Equities (2.77%) | Bonds 0.13% | IG Credit 0.28% | CAD 5.56%
Past 12 months
Positive returns for 19 of 20 asset classes
Top 3
Gold 43.38% | Canadian Equities 16.83% | US REITs 15.55%
Bottom 3
Commodities (6.82%) | US Small Cap Equities 0.61% | Canadian Dollar 1.30%
Canadian Markets
Equities 16.83% | Bonds 9.06% | IG Credit 9.64% | CAD 1.30%
Macro Summary (Key Index Levels and Rates)
US Yields
10 year Government 4.17% (6 bps lower)
30 year Government 4.66% (7 bps higher)
Yield Curve (3m-10y) (14 bps) (flatter by 5 bps)
High Yield spread 394 bps (wider by 39 bps)
Volatility (VIX): 24.70 (10.86% M-O-M, 50.33% from 3 months ago)
Oil: $58.21 ( (18.56%) M-O-M, (19.74%) from 3 months ago)
Gold: $3,319.10 (5.36% M-O-M, 17.08% from 3 months ago)
USD / EURO: € 0.88 (Euro stronger by 4.52% M-O-M, stronger by 8.53% from 3 months ago)
USD / Yen: ¥143.07 (Yen stronger by 4.59% M-O-M, stronger by 7.80% from 3 months ago)
*Information above is from 2025.04 Investment Scorecard
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