Portfolio (Demo)
   

13 Dec 2024 to 20 Dec 2024


-1.54%
Current Portfolio
-2.23%
Singapore ETF

Name Port% Close Portfolio Return Stock Return Industry Return Industry
CA House Loan -75.09% 1.2 0% 0% 0% Unknown
XSES Singtel 0.51% 3.12 0.0% -0.64% -0.54% Integrated Telecommunication Services
XSES ParkwayLife 0.60% 3.63 0.0% -0.27% -1.12% Health Care REITs
XSES DBS 14.10% 42.82 -0.30% -2.10% -2.13% Regional Banks
XHKG Lippo China Resources Ltd 0.20% 0.69 +0.01% +2.99% -1.63% Restaurants
CG Ethereum 1.55% 3,468.659 -0.17% -11.23% -18.17% Crypto
XHKG Cathay Airways 0.77% 9.34 -0.03% -3.41% -6.22% Airlines
CA CPF SA 5.14% 1 0% 0% Computing... Sovereign Government
CA House 98.80% 600,000 0% 0% 0% Unknown
XSES UMS 3.19% 0.97 -0.10% -3.00% -2.96% Semiconductor Equipment
XSES Raffles Medical 0.33% 0.825 -0.01% -3.51% +0.31% Health Care Facilities
XUSX Amazon.com 25.10% 224.92 -0.28% -1.12% -0.58% Internet & Direct Marketing Retail
XSES Frasers Property 1.51% 0.92 -0.01% -0.54% -1.16% Diversified Real Estate Activities
XSES MIT 12.56% 2.18 -0.17% -1.36% -1.55% Industrial REITs
XUSX Meta Platforms Inc 6.53% 585.25 -0.36% -5.58% -2.69% Interactive Media & Services
XLON iShares Core MSCI World 1.21% 108.67 -0.02% -1.94% +7.69% Unknown
XUSX Essex Property Trust 1.90% 283.76 -0.10% -5.35% -2.77% Residential REITs
XLON iShares MSCI World Qualit 1.07% 6.87 -0.03% -2.54% +7.69% Unknown



Methodology 1) Current Portfolio = sum_of_all_current_portfolio_stocks(Port% x Stock Return)
2) Benchmark Return = (Close on EndDate - Close on StartDate + Dividends with ExDate between StartDate[exclusive] and EndDate[inclusive]) / Close on StartDate
3) Portfolio Return = Port% x Stock Return
4) Stock Return = (Close on EndDate - Close on StartDate + Dividends with ExDate between StartDate[exclusive] and EndDate[inclusive]) / Close on StartDate
5) Industry Return = sum_of_all_stocks_in_industry(Stock Return) / # of Stocks in Industry
Note: Dividends are after tax if applicable




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