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Comprehensive Investment Report in AdviserLogic

Learn how to generate and interpret the Comprehensive Investment Report to overview a client’s portfolio in AdviserLogic

Updated over a month ago

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Overview

The Comprehensive Investment Report provides a streamlined way to download an overview of the client’s Asset Allocation, Investment Returns, and Investment Valuation in a single report.

The Comprehensive Investment Report can be accessed through a client, under the Reports Menu > Review Investment Reports. The report draws all the information from the client’s Assets page, with options to select.

  • The date range for calculating the investment returns.

  • Checkbox to display the selected entities and platforms;

  • PDF or Word file formats for report download, displaying the charts and tables sectioned by the entity and investments held inside and outside of super.

Investment Valuation

The Investment Valuation table displays your selected portfolios grouped by Platform or Direct investment for client, partner, and related entities. The table values are as at date of document download.

Investment Valuation output example.

Asset Allocation

The Asset Allocation chart and table displays the asset allocation percentage of all assets held by the selected client, partner and related entities compared with their associated target risk profile. The Asset Allocation chart and table values are as at the date of document download.

Method of formulation:

Description

Definition

Source

Calculation

Entity Name

Defines the owner of the asset i.e., client/partner/SMSF/Superfund

Asset Screen

NA

Asset Class

The asset class is grouped by the growth and defensive asset class type

Asset Screen

NA

Balance

The total dollar value of the asset class

Asset Screen

NA

Current (%)

The percentage of the asset class balance over the total balance

Calculation

(Asset Class Balance/Total Balance)* 100

Target (%)

This is the value as per the Risk Profile chosen

Fact Finder > Risk Profiler

NA

Variance

The difference between the Current asset allocation percentage and the Target asset allocation percentage

Calculation

Current Asset Allocation % - Target Asset Allocation %

Investment Returns

The Investment Returns table displays the performance of the selected client, partner, and related entities portfolio over the selected period of time.

Method of formulation:

Description

Definition

Source

Calculation

Investment

Description of the underlying investment

Asset Screen

NA

Allocation (%)

% allocation of underlying investment from the total platform balance

Calculation

(Closing Balance of the Investment Option/Total Closing Balance of the platform)

Opening Balance ($)

Opening balance of the investment option at the start of the reporting period

Asset Screen

(Opening Units*Opening Unit Price)

Closing Units

Number of units held for the investment option at the end reporting period

Asset Screen

NA

Closing Unit Price ($)

Unit Price of the investment option at the end reporting period

Asset Screen

NA

Closing Balance ($)

Closing balance of the investment option at the end of the reporting period

Asset Screen

(Closing Units*Closing Unit Price)

Total Return ($)

Total Return $ / Income and Growth

Calculation

Value at End date - Value at Start Date - (Additions -Withdrawals) + Total Income Received

Total Return (%)

Total Return % / Actual ROR %

Calculation

(Total value of Income and Growth/ Value at the start date +(Additions))*100

Total Return (Annual)

Total Annual Return / Annualized ROR

Calculation

(End Value/Start Value) ^(1/Years)-1
End Value / Start Value = 1 + Growth Rate
n=1/Tears or n= 365/Days

Transactions table

The Transactions table provides a summary of the selected client, partner, and related entities' portfolio opening balance, the transactions and the closing balance over the specified period of time.

The transactions are made up of:

Description

Definition

Source

Investment Earnings

It is the sum of Income and Growth amount for a particular platform

Asset Screen > Transaction List > Distribute Income , IR 2.0

Contributions

It is the total transactions (Addition) added to the platform

Asset Screen > Transaction List > Add Investment

Withdrawals

It is the total transactions (Withdrawal) withdrawn from the platform

Asset Screen > Transaction List > Redeem Investment

Investment Fees

The Investment Fees table provides a breakdown of the fees charged for each platform for the selected entity and date range as well as a breakdown for each of the underlying investments with amounts and investment fees.

Method of Formulation:

Description

Definition

Source

Calculation

Balance Amount

The total existing balance under the Platform and the Investment Options as at the end of the date range

Asset Screen

Admin Fee

The Percentage and Dollar Value for the Platform with respect to total balance under the Platform

Inhouse Research

Ongoing Fee

Operational Fee + Stronger Super Fee + Trustee Expenses Recovery Fee

Inhouse Research

Investment Fee

The total Investment Fees for each of the underlying investments in that platform.

Morningstar Database

Sum of all the Investment Fees under a Platform

Total Cost

Admin Fee + Ongoing Fee + Investment Fee ^^

NA

📌Note

The following Assets do not flow into the Investment Report

  • Lifestyle Assets, Family Homes, and Offset Accounts.

  • If the ‘Exclude from Report’ for an Asset is selected.

  • Any asset input in terms of Dollar Value - without unit price.

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