- Joined
- 20 January 2013
- Posts
- 3
- Reactions
- 0
Hi All,
Can anyone recommend a way for accurately calculating portfolio rate of return when you have:
- A margin loan (interest payments)
- Dividends (reinvested or not)
- Shares bought and sold (with dividends and $ from work funds)
Also, any advice for how to compare the result to the market rate of return?
Thank you,
Crutch
Can anyone recommend a way for accurately calculating portfolio rate of return when you have:
- A margin loan (interest payments)
- Dividends (reinvested or not)
- Shares bought and sold (with dividends and $ from work funds)
Also, any advice for how to compare the result to the market rate of return?
Thank you,
Crutch