SPY: +11.10%
VT: +15.31%
STI: +16.27%
TTF: +35.67%
SINCE INCEPTION (FEB 2020), ANNUALIZED:
SPY: +15.00%
VT: +11.99%
STI: +6.16%
TTF: +25.74%
Note: Returns are MWRs, all figures in USD TTF’s NAV: USD 6,007,518.95 Deposits/Withdrawals: USD 2,478,245.15 Net capital gains since inception: USD 3,529,273.8 For reference, the last fund report: https://thumbtackinvestor.wordpress.com/2025/01/21/thumbtack-fund-report-25-disastrous-q4-dazzling-2024/
YTD, TTF has had only USD 157k in net deposits, which means USD 1.57mil out of the USD 1.73mil in portfolio NAV gains come from pure capital gains.
Since TTF was incorporated in Feb 2020, this means that TTF has enjoyed a net gain of USD 3,529,273.8 over a period of 67 months of investment activity, which works out to be USD 52,675.72 every month, or approximately SGD 67.4k per month from Feb 2020 to date. …
