Investment Performance Reporting for Websites & Statements
Hypothetical Investment & Asset Allocation Tool: Exploring "What-If?" Situations with Model Portfolios
Your Portfolio | Yours vs Model Portfolio - Part 1 | Yours vs Model - Part 2 | Risk of Yours vs Model | Assumptions

SEE HOW YOU MIGHT HAVE DONE HAD YOU INVESTED DIFFERENTLY...
AN OVERVIEW OF YOUR PORTFOLIO AND ITS CHANGING ASSET ALLOCATION
NOTES...
ACTIVITY SUMMARY
Beginning Value (03/09/2000)
$251,700.39
Additions
$30,395.67
Deductions
$20,895.35
Income
$39,860.25
Market Fluctuation
-$17,453.82
Ending Value (02/17/2005)
$283,607.14
Net Change
$31,906.75
Personal Rate-of-Return
NET INVESTMENT VS. MARKET VALUE
for period 03/09/2000-02/17/2005

The table to the far left highlights the investor's overall account activity while the chart to the immediate left shows their net investments and corresponding market values over the same period.
 
ASSET ALLOCATION
Stock
 
49.5% Domestic Stock
 
10.2% Intl Stock
Bond
 
35.2% Domestic Bond
 
5.1% Intl Bond
CHANGING ALLOCATION OVER SAME PERIOD

This chart illustrates the investor's changing asset allocation over time for their own portfolio. The pie chart to the far left highlights their portfolio's current asset allocation.




   InvestorID:  (Default: 707, Alternate IDs: 461, 398)
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