Portfolio Return Calculator Pro
Calculate weighted returns across your entire portfolio, analyze risk-adjusted performance metrics, rebalance to your target allocation, and benchmark your results against the S&P 500 — all in one professional tool.
| Ticker / Name | Value ($) | Return (%) | Weight | Contribution |
|---|
| Asset | Current Value ($) | Current Weight | Target Weight (%) | Action Needed |
|---|
What each tab calculates
Portfolio Builder
Add unlimited holdings with current value and individual return. Automatically calculates weighted portfolio return, total gain/loss, allocation weights, each holding's return contribution, and a portfolio donut chart.
Performance Analysis
Enter annual portfolio returns across multiple years. Calculates geometric CAGR, arithmetic mean, standard deviation (risk), Sharpe ratio with risk-free rate, best and worst year, and cumulative total return.
Rebalancing
Enter current holding values and target allocation percentages. Shows portfolio drift, exact dollar amounts to buy or sell for each asset to restore target weights, and a current vs target comparison chart.
vs Benchmark
Compare your portfolio CAGR against S&P 500, NASDAQ-100, MSCI World, 60/40, or a custom rate. Shows alpha per year, dollar advantage on your capital, and Information Ratio over the selected period.