Compare
Compare any two DSE stocks or funds side by side. Chart rebases both series to 100 at the start of the selected period.
Indexed performance (1Y)
iGrowth vs iGrowth · Start = 100 (close / NAV).
How these metrics work
Indexed chart: each series is rebased to 100 at the first data point in the selected window. Stocks use closing prices; funds use NAV per unit.
Total return: percentage change from first to last observation in the window.
Annualized return: total return spread over the window length in years (simple average, not CAGR).
Volatility: annualized standard deviation of daily % moves (~252 trading days).
Max drawdown: largest peak-to-trough drop over the window.
Note: metrics are descriptive only, not investment advice. Stocks and funds are different products with different liquidity and risk profiles.
Analytics are descriptive, not advice. Stock metrics use DSE history (~4000days max); fund NAV comes from each provider's published series.