Stock Position

🇺🇸 United States
Peter Kramer  | 
21
ASO score
Text
12/100
Reviews
0/100
Graphic
60/100
Other
0/100
rating
App Rating
3
rating
Votes
2
rating
App Age
12y 8m
rating
Last Update
Oct 18, 2024
rating
iAP
$0.99 - 1.99

Compare with Category Top Apps

Metrics
Current App
Category Top Average
Difference
Rating
3
4.58
-35%
Number of Ratings (Voted)
2
866.6K
-100%
App Age
12y 8m
8y 1m
+55%
In-app Purchases Price
$1
$58
-97 %
Update Frequency
449d
47d
+846%
Title Length
14
25
-44%
Subtitle Length
0
28
Description Length
1 796
2 714
-34%
Number of Screenshots
1755
1232
+42 %
Size
5MB
200MB
-97 %

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Text ASO

Title (
Characters: 14 of 30
)
Stock Position
Subtitle (
Characters: 0 of 30
)
Description (
Characters: 1796 of 4000
)
Stock Position downloads and analyzes market price data of a portfolio of stock assets (NYSE or NASDAQ). It lists the current market price of the individual assets and the portfolio, graphs the price (over the past 10 years) of individual assets and the portfolio, compares the price (over time) to any listed market factor, correlates the rate of return to determine the beta value for the individual assets and the portfolio, and displays the standard deviation and CAPM expected return of the individual assets and the portfolio. * 8 portfolios of 40 assets each (or 1 portfolio of 5 assets if no subscription). * quick display of asset and portfolio current values and gain/loss (many values are real time) * use asset proxies (surrogates) to track intra-day asset values * weekly beta calculated from any start/end dates IMPORTANT NOTE: Although initially free, Stock Position requires an In App Purchase subscription (non-renewing) to use many features. A one month initial subscription for each device is included for free. Screenshots below: (All with similar portfolios) 1) CAPM graph showing portfolio diversification with a beta of .96, return slightly better than the market risk with an Alpha of 2.2%. 2) asset table - portfolio total is $ down $464 in the day. A proxy (SPY) is used to value the day's change in FPURX. 3) stocks graphed cumulatively from 2013 to 2021. Rate of return 14.9%. 4) Portfolio correlation to a market factor (SPY) showing a beta of .96 since 01/01/13, a return of 15.2% which is 2.2% (alpha) better than the market risk-related return. Beta sensitivity to Start Date is displayed by moving the slider. 5) Portfolio comparison to a market factor (SPY) showing close correlation with small residuals until recently (due to FDX and TSLA).}
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Rating
3
2 voters

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Additional Information
Rating:
3
Voted: 2
App Store Link:
Website:
Email: -
Privacy Policy:
Categories: Business, Finance
Size: 5MB
iAP: 0.99 - 1.99 $
App Age: 12 years 8 months
Release Date: May 16, 2013
Last Update: Oct 18, 2024
Version: 2.7
Version history
2.7
Oct 18, 2024
Bug fixes
2.6
Feb 09, 2023
Bug fixes
Version history