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  1. #1581
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    Quote Originally Posted by kiora View Post
    OR could the discount be due to the 6.55% CAGR since 2004?
    Surely not?

    https://portfolio.sharesight.com/por...olio_id=316437
    Mate u need see it with reference to a bench mark ie NZX50 ...which since 2004 has CAGR of ?? They said recently that they outperformed index over 20 years period ...surely u dont expect a FUND which is inherently much safer then single stocks to outperform single stock's CAGR ...MFT has 20% plus and they had it as top 5 all this while ...

  2. #1582
    ShareTrader Legend bull....'s Avatar
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    alokdhir what your forecast nav this week
    one step ahead of the herd

  3. #1583
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    Out of interest then what is CAGR of NZX50 over last 20 yrs?

  4. #1584
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    Quote Originally Posted by kiora View Post
    Out of interest then what is CAGR of NZX50 over last 20 yrs?
    https://api.nzx.com/public/announcem...684-415656.pdf

  5. #1585
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    Quote Originally Posted by bull.... View Post
    alokdhir what your forecast nav this week
    Will let u know my estimate on Wednesday evening ...at present its just above $ 1.38

  6. #1586
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    KFL is a stock then why it cant be included in the index ? With ARV and WHS exit on horizon ...need two candidates for NZX50 inclusion ahead ...TWR is less market cap then KFL ...so shouldn't be KFL then TWR ...unless KFL is not a stock ???

  7. #1587
    DFDTABPCLMB
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    Quote Originally Posted by alokdhir View Post
    KFL is a stock then why it cant be included in the index ? With ARV and WHS exit on horizon ...need two candidates for NZX50 inclusion ahead ...TWR is less market cap then KFL ...so shouldn't be KFL then TWR ...unless KFL is not a stock ???
    From page 6 of the NZ Index Methodology:
    Eligible Securities.
    All common and equity preferred stocks (which are not of a fixed income nature) are eligible for inclusion in the indices. Hybrid stocks such as convertible stocks, bonds, warrants, and preferred stocks that provide a guaranteed fixed return are not eligible. Closed and open-ended equity funds that invest in a portfolio of securities are not eligible for index inclusion (e.g. ETFs, listed investment companies, etc.).{snip}

  8. #1588
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    "3- gross performance return – the Manager’s portfolio performance in terms of stock selection, before expenses, fees and tax."
    OUCH
    Annualised since inception returns are for the period 31 March 2004 to 29 February 2024.

    Total shareholder return1 of 9.4% per year;
    • Adjusted NAV return2 of 9.9% per year; and
    • Gross performance return3 of 13.1% per year
    Last edited by kiora; Yesterday at 10:50 PM.

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