€291,409.51
17.31% (€41,674.13)
Price return
17.3%
€41,590.54
Income return
0.2%
€83.59
Cost ratio
0%
€0.00
Active return
9.55%
SPDR S&P 500 ETF Trust

Holdings

Security
Position
Holding period
Cumulative cashflow
per share
Value
per share
Price return
in %
Income return
in %
Costs amount
in %
Net profit/loss
in %
Allocation %
1,388
30 days
€81,819.66
€58.95/share
€139,011.03
€100.15/share
€13,864.94
11.08%
- -
€13,864.94
11.08%
48.15%
220
30 days
€20,744.54
€94.29/share
€41,590.54
€189.05/share
€3,951.28
10.5%
€51.14
0.41%
-
€4,002.42
10.63%
14.41%
14.72
30 days
€1,828.82
€124.23/share
€34,261.26
€2,327.28/share
€13,636.72
66.12%
- -
€13,636.72
66.12%
11.87%
0.29
30 days
€1,786.83
€6,206.40/share
€26,659.58
€92,599.71/share
€5,445.06
25.67%
- -
€5,445.06
25.67%
9.23%
43
30 days
€4,687.82
€109.02/share
€17,420.30
€405.12/share
€3,347.88
23.79%
- -
€3,347.88
23.79%
6.03%
203
30 days
€8,495.18
€41.85/share
€12,996.73
€64.02/share
€182.08
1.42%
- -
€182.08
1.42%
4.5%
1,900
30 days
€10,014.14
€5.27/share
€9,172.25
€4.83/share
-€79.80
-0.86%
- -
-€79.80
-0.86%
3.18%
47.84
30 days
€1,785.71
€37.32/share
€4,318.43
€90.26/share
€1,132.02
35.53%
- -
€1,132.02
35.53%
1.5%
133
30 days
€4,817.07
€36.22/share
€3,249.79
€24.43/share
€84.97
2.68%
€32.45
1.38%
-
€117.42
3.73%
1.13%

Cash

Currency Balance Balance in reporting currency
US Dollar
USD
$1,950.37
€1,743.74
Euro
EUR
€985.86
€985.86
TWR
16.69%
Std. dev.
5.57%
Sharpe ratio
2.91
Active TWR
2.65%/year

Asset Classes

Transactions

Date Type Description Quantity Amount
May 15, 2025
12:00 AM
Dividend
€51.14
$57.20
May 1, 2025
12:00 AM
Dividend
€32.45
$36.91
Apr 1, 2025
12:00 AM
Dividend
€95.97
$103.53
Mar 13, 2025
12:00 AM
Dividend
€32.95
$35.69
Feb 13, 2025
12:00 AM
Dividend
€52.94
$55.00
Feb 3, 2025
12:00 AM
Dividend
€35.92
$36.91
Dec 16, 2024
12:00 AM
Dividend
€93.78
$98.46
Dec 12, 2024
12:00 AM
Dividend
€34.02
$35.69
Nov 14, 2024
12:00 AM
Dividend
€52.22
$55.00
Nov 1, 2024
12:00 AM
Dividend
€33.91
$36.91