🚩SMART PORTFOLIO

The portfolio is designed by SmartDragon based on investors' profit expectations & risk appetite, including 3 portfolios:

  • Contrarian portfolio - Expected return from 8-10%, dividend yield >7%.

  • Balanced portfolio - Expected return 10-15%, dividend yield >5%.

  • Growth portfolio - Expected return from 22-25%.

To access Smart Portfolio, there are 2 ways:

Method 1: Click the "Smart portfolio" icon on the screen.

Each portfolio has 5 stocks and is evaluated and updated by Rong Viet experts every month to match the situation and trends of the market.

Diversification analysis includes 3 charts:

  1. Stock allocation chart - Shows the distribution of stocks in a portfolio based on market capitalization.

  2. Sector allocation chart - Shows the distribution of the proportion of industry groups in the portfolio.

  3. Capitalization allocation chart - Shows the distribution of capitalization groups in the portfolio, including 4 capitalization groups:

  • Large-caps - Enterprises with market capitalization ≥ 10,000 billion VND.

  • Mid-caps - Enterprises with market capitalization ≥ 5,000 billion VND and < 10,000 billion VND.

  • Small-caps - Enterprises with market capitalization ≥ 300 billion VND and < 5,000 billion VND.

  • Micro-caps - Enterprises with market capitalization < 300 billion VND.

To evaluate the portfolio investment efficiency, SmartDragon compares the return rate of the portfolio with 2 reference indexes including VN30 and VN Index according to the timelines:

  • 1 W - 1 Week

  • 1M - 1 Month

  • 3M - 3 Months

  • 1 Y - 1 Year

  • YTD - Year to Date

The chart shows the Smart Score and Risk distribution, where:

  • The vertical axis is the stock's beta (the stock's volatility risk).

  • The horizontal axis is the stock's Smart Score.

  • The size of the circle represents the capitalization of the business.

In the Portfolio Analysis, shows:

  • P/E (of the portfolio) - Evaluates the correlation between the market price of all stocks in the portfolio (Price) and the earnings of all businesses in the portfolio (EPS).

  • Beta (of the portfolio) - Measures the volatility of the portfolio with the overall volatility of the stock market.

  • Expected Return (of the portfolio) - The expected rate of return from the portfolio.

  • Sharpe Raito - Measures how much return is earned per unit of risk when investing in a portfolio.

  • Alpha - Evaluates the portfolio's investment performance, showing the residual return after offsetting the portfolio's risk.

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