Portfolio history

A transparent view of AGI PROCESOR

The data has been normalised from Trading 212 exports. We show actual contributions and VUAG purchases without inventing a price history.

Current value

6140,42 €

Trading 212 snapshot: 20.06.2026

Invested value

5938,68 €

According to the position export

Portfolio result

+201,74 €

Value minus invested value

Simple return

3.4%

Relative to invested value

Actual cash flows

Contributions and VUAG purchases

This is not a historical market valuation

Portfolio allocation

100%

VUAG

S&P 500 ETF · VUAG

48.760867 VUAG

Contribution rhythm

10 € dziennie + wpłaty dodatkowe

137 total contributions · 2026

Monthly contributions

History from CSV export

MonthTotal contributionsVUAG purchasesTotal contributions
Sty 2026100,0090,00100,00
Lut 2026190,00198,00290,00
Mar 2026370,00380,02660,00
Kwi 2026300,00300,00960,00
Maj 2026330,00310,001290,00
Cze 20264650,004660,035940,00

Latest updates

01

Aktualizacja wartości portfela

Wynik

20.06.2026

AGI PROCESOR ma wartość 6 140,42 €. Dane pochodzą z eksportu pozycji Trading 212.

02

Wpłata dodatkowa do planu

Regularność

09.06.2026

W historii pojawiła się wpłata 4 450 €. Wszystkie wpłaty są agregowane bez publikowania identyfikatorów transakcji.

03

Start regularnego budowania pozycji

Strategia

18.01.2026

Portfel jest oparty na ETF Vanguard S&P 500 (Acc), ticker VUAG. Rytm obejmuje codzienne wpłaty oraz dodatkowe zasilenia.

AGI analysis

A calm portfolio review

Status: on track

This is an educational summary based on the recorded portfolio parameters. It is not a recommendation to buy, sell or change a portfolio.

Performance

The portfolio is positive relative to total contributions. Performance does not predict the future; it only shows the current state of the account.

Consistency

A regular contribution plan reduces the pressure to find the perfect entry point and supports long-term consistency.

Risk

Exposure to a broad index offers diversification within equities, but it is still subject to market volatility.

Time horizon

An S&P 500 strategy needs time. Matching risk and horizon to your own situation matters most.

Next step

Check your own long-term scenario.

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