Portfolio of Defense Stocks
Here is a table of 9 defense stocks.
Portfolio Components Performance
| Stock Name, Symbol & Link to Return Info | Current Stock Price | Current Value of Investment | Percent Total Return | Annualized Return |
|---|---|---|---|---|
| Boeing (BA) | $198.20 | $901.15 | -9.88% | -2.06% |
| General Dynamics (GD) | $353.05 | $1,999.64 | 99.96% | 14.87% |
| Lockheed Martin (LMT) | $533.38 | $1,766.96 | 76.70% | 12.06% |
| Northrop Grumman (NOC) | $527.39 | $1,588.18 | 58.82% | 9.69% |
| Textron (TXT) | $79.69 | $1,151.39 | 15.14% | 2.86% |
| If a stock does not have 5 years of prices, all available monthly prices are used for return computations. All computations are based on the latest monthly split and dividend adjusted closes from Alpha Vantage. | ||||
Combined Portfolio Performance Summary:
• Total Amount of Investments: $9,000.00 Summary for 9 Stocks Combined
• Average Years used for Annualized Return: 5.00 Years (45.00 Total Years / 9 Stocks)
• Current Value of Investments: $15,140.79
• Percent Total Return: +68.23%
• Annualized Return: +10.96%
• Total Amount of Investments: $9,000.00 Summary for 9 Stocks Combined
• Average Years used for Annualized Return: 5.00 Years (45.00 Total Years / 9 Stocks)
• Current Value of Investments: $15,140.79
• Percent Total Return: +68.23%
• Annualized Return: +10.96%
Historical Valuation Charts
Investment Growth Summary for ---:
• Initial Investment: $1,000.00 made on ---
• Split/Dividend Adjusted Purchase Price: $0.00
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• Current Month Adjusted Close Price: $0.00
• Current Value of Investment: $0.00
• Percent Total Return: 0.00%
• Annualized Return: 0.00%
• Initial Investment: $1,000.00 made on ---
• Split/Dividend Adjusted Purchase Price: $0.00
• Current Valuation Date: ---
• Current Month Adjusted Close Price: $0.00
• Current Value of Investment: $0.00
• Percent Total Return: 0.00%
• Annualized Return: 0.00%