Portfolio (Demo)
   

23 Mar 2016 to 25 Sep 2025


+443.92%
Current Portfolio
+90.03%
Singapore ETF

Name Port% Close Portfolio Return Stock Return Industry
CA House 152.65% 600,000 NA NA Unknown
XUSX PepsiCo Inc 2.32% 142.17 +1.60% +68.86% Soft Drinks
CA CPF SA 7.94% 1 NA NA Unknown
XUSX Essex Property Trust 2.59% 264.59 +1.03% +39.77% Residential REITs
XUSX Meta Platforms Inc 12.20% 747.45 +69.13% +566.39% Interactive Media & Services
CG Ethereum 2.63% 4,027.173 +949.32% +36090.78% Crypto
XUSX Amazon.com 35.68% 218.49 +238.01% +667.13% Internet & Direct Marketing Retail
CA House Loan -116.01% 1.2 NA NA 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
Note: Dividends are after tax if applicable




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