Australian (ASX) Stock Market Forum

Portfolio Rate of Return

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20 January 2013
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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
 
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

You can set it up fairly easily in Excel. What you need to do is unitise your portfolio, ie create "units" with a nominal value. When you withdraw funds you treat this as a redemption of units, when you make a contribution you add units. To measure your performance you just take the change in unit price. No need to buy expensive software if that's all you want to do.
 
You can set it up fairly easily in Excel. What you need to do is unitise your portfolio, ie create "units" with a nominal value. When you withdraw funds you treat this as a redemption of units, when you make a contribution you add units. To measure your performance you just take the change in unit price. No need to buy expensive software if that's all you want to do.

Yeh I agree hence my suggestion

http://www.stator-afm.com/

$125 is cheap
 
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