- Tax Planning
- Investments 1: Before you Invest
- Investments 2: Your Investment Plan
- Investments 3: Securities Market Basics
- Investments 4: Bond Basics
- Investments 5: Stock Basics
- Investments 6: Mutual Fund Basics
- Investments 7: Building Your Portfolio
- Investments 8: Picking Financial Assets
- Investments 9: Portfolio Rebalancing and Reporting
- Retirement 1: Basics
- Retirement 2: Social Security
- Retirement 3: Employer Qualified Plans
- Retirement 4: Individual and Small Business Plans
- Estate Planning Basics
Perform a Portfolio Return Attribution Analysis
Portfolio attribution analysis is the process of separating portfolio returns into various categories based on specific indicators of portfolio performance, such as broad asset allocation, security selection, industry, currency, and trading. This analysis allows you to determine how well your portfolio is performing.
There are many different methods of performing a portfolio attribution; this objective will explain only the most basic method. To perform a basic portfolio attribution, investors must complete the steps described below.