The return on the portfolio from its activation until the latest rollover (rounded down to the nearest tenth). Calculated according to the following formula: (P2 - P1) / P1 * 100%, where P1 is the share price at the beginning of the period, and P2 is the share price at the end of the period.
The cumulative trading result of all the PAMM accounts in the portfolio throughout the course of its lifetime.
Funds under management
The PAMM portfolio's equity is the total amount of funds present across all investment accounts, which includes unused funds on PAMM accounts as well as the total amount of pending deposit requests. This indicator takes current currency exchange rates into account.