€325,967.34
5.81% (€17,901.85)
Portfolio performance
5.81 %
€17,901.85
Volatility
3.32 %
Risk-adjusted return
1.65
Active return
4.32 pp
SPDR S&P 500 ETF Trust
Net contributions
€0.00
Price contribution
5.78 pp
€17,807.34
Income contribution
0.03 pp
€94.52
Cost contribution
0 pp
€0.00

Holdings

Security
Position
Holding period
Net cash invested
per share
Value
per share
Holding return (MWR)
Net profit/loss
Allocation %
1,388
30 days
€81,819.66
€58.95/share
€172,899.78
€124.57/share
0.64%
€1,095.06
53.64%
220
30 days
€20,744.54
€94.29/share
€65,080.52
€295.82/share
18.85%
€10,320.76
20.19%
14.72
30 days
€1,828.82
€124.23/share
€24,438.37
€1,660.03/share
20.52%
€4,161.00
7.58%
0.29
30 days
€1,786.83
€6,206.40/share
€16,108.95
€55,953.02/share
7.16%
€1,075.67
5%
203
30 days
€8,495.18
€41.85/share
€14,984.82
€73.82/share
2.51%
€366.69
4.65%
43
30 days
€4,687.82
€109.02/share
€14,690.75
€341.65/share
4.43%
€623.82
4.56%
1,900
30 days
€10,014.14
€5.27/share
€9,320.83
€4.91/share
-1.01%
-€95.57
2.89%
133
30 days
€4,817.07
€36.22/share
€2,851.75
€21.44/share
7.6%
€201.32
0.88%
47.84
30 days
€1,785.71
€37.32/share
€1,932.37
€40.39/share
8.44%
€150.44
0.6%

Cash

Currency Balance Balance in reporting currency
$3,044.68
€2,673.35
€985.86
€985.86

Dividends

Performance

Allocation

Loading portfolio allocation...

Tax report

Detailed report
Realized gains
€0.00
Unrealized gains
€186,266.71
Income
€416.79
Costs
€0.00

Transactions

Date Type Description Quantity Amount
Jul 1, 2026
12:00 AM
Dividend
€94.52
$107.59
Jun 11, 2026
12:00 AM
Dividend
€33.92
$39.13
May 14, 2026
12:00 AM
Dividend
€50.76
$59.40
May 1, 2026
12:00 AM
Dividend
€31.60
$36.97
Apr 1, 2026
12:00 AM
Dividend
€92.71
$107.59
Mar 12, 2026
12:00 AM
Dividend
€33.89
$39.13
Feb 12, 2026
12:00 AM
Dividend
€48.17
$57.20
Feb 2, 2026
12:00 AM
Dividend
€31.23
$36.97
Dec 15, 2025
12:00 AM
Dividend
€88.09
$103.53
Dec 11, 2025
12:00 AM
Dividend
€33.40
$39.13