Before continuing, please review and confirm the following.
DEMO:
Dashboard
Loading…
1M
3M
6M
1Y
All
Portfolio Value
$284,621
+$18,430 this FY
As at 22 Apr 2025
Total Return
+12.84%
+3.64% vs ASX 200
Benchmark: +9.20%
Annual Dividend Income
$9,840
3.46% yield
4.82% grossed up (franking)
Cash Available
$28,460
10.0% of portfolio
Held in settlement account
Portfolio Performance
Your Portfolio +12.84%
ASX 200 +9.20%
Full report →
Asset Allocation
Detail →
Aust. Equities
58%
International
18%
ETFs / LICs
14%
Cash
10%
Dividend Income
Full analysis →
Received
Forecast
Apr 24 — Mar 26
FY25 Received
$6,420
8 payments to date
FY25 Forecast
$9,840
Incl. franking credits
Avg Gross Yield
4.82%
3.46% cash yield
Portfolio Holdings
Export →
Security
Units
Share Price
Value
Weight
Return %
Return $
Div Yield
Annual Div
CBA
Commonwealth Bank
Financials
280
$150.64
$42,179
14.8%
+21.4%
+$7,392
3.80%
$1,603
BHP
BHP Group
Materials
750
$42.19
$31,643
11.1%
−4.2%
−$1,385
5.10%
$1,614
CSL
CSL Limited
Healthcare
100
$289.20
$28,920
10.2%
+8.7%
+$2,316
1.20%
$347
NAB
National Aust. Bank
Financials
680
$36.04
$24,507
8.6%
+15.1%
+$3,205
4.60%
$1,127
WDS
Woodside Energy
Energy
540
$33.96
$18,338
6.4%
−2.8%
−$528
7.20%
$1,320
WBC
Westpac Banking
Financials
620
$28.12
$17,434
6.1%
+11.3%
+$1,762
5.00%
$872
VAS
Vanguard ASX 300
ETF
390
$102.40
$39,936
14.0%
+9.4%
+$3,430
3.50%
$1,398
IVV
iShares S&P 500
ETF — Intl
60
$562.04
$33,722
11.8%
+18.2%
+$5,210
1.30%
$438
Total
—
—
$256,161
90.0%
+12.84%
+$21,402
—
$8,719
General Advice
The information displayed is general in nature and does not consider your personal financial situation, objectives or needs. Past performance is not a reliable indicator of future performance. This platform is provided by Vested Equities Pty Ltd (AFSL 478987).
General Advice
Sector classifications follow GICS standards. Benchmark comparisons use ASX 200 index weightings. Model portfolio weightings are general illustrative ranges only and do not constitute a recommendation. ETFs and LICs are investment vehicles — their underlying holdings are allocated to the relevant asset class for allocation comparison purposes. Provided by Vested Equities Pty Ltd (AFSL 478987).
Performance
Loading…
1M
3M
6M
1Y
3Y
5Y
All
Total Return (1Y)
+12.84%
+$32,868 gain
Since 1 Jul 2024
Time-Weighted Return
+12.84%
+3.64% vs ASX 200
Removes cash flow impact
Money-Weighted Return
+14.21%
Reflects your timing
Includes deposits & withdrawals
Max Drawdown (1Y)
−6.84%
Aug–Oct 2024
Peak to trough decline
Portfolio vs Benchmark
Total return including dividends reinvested
Portfolio +12.84%
ASX 200 +9.20%
Export →
Drawdown
Peak to trough decline over period
Annual Returns
Financial year (Jul–Jun) portfolio vs ASX 200
Top Contributors
Holdings driving portfolio gains
+$36,453 combined
Security
Return
Contribution
CBACommonwealth Bank
+21.4%
+$14,220
IVViShares S&P 500
+18.2%
+$10,380
NABNational Aust. Bank
+15.1%
+$8,120
VASVanguard ASX 300
+9.4%
+$3,733
CSLCSL Limited
+8.7%
+$3,086
Detractors
Holdings dragging on performance
−$3,585 combined
Security
Return
Contribution
BHPBHP Group
−4.2%
−$2,200
WDSWoodside Energy
−2.8%
−$1,385
No other detractors this period
Return Summary by Period
Portfolio vs ASX 200 benchmark across timeframes
Period
Portfolio Return
ASX 200 Return
Alpha
Portfolio Value Change
1 Month
+2.14%
+1.80%
+0.34%
+$5,940
3 Months
+5.82%
+4.60%
+1.22%
+$15,640
6 Months
+8.44%
+6.90%
+1.54%
+$22,180
1 Year (FY25 YTD)
+12.84%
+9.20%
+3.64%
+$32,868
3 Years (p.a.)
+11.20%
+9.80%
+1.40%
+$84,210
Since Inception
+68.40%
+54.20%
+14.20%
+$112,480
General Advice
Performance data is sourced from Sharesight and reflects total returns including dividends. Past performance is not a reliable indicator of future performance. Provided by Vested Equities Pty Ltd (AFSL 478987).
Optimise
Loading…
Portfolio Review Service
Portfolio Optimiser
Tell us what you're looking to achieve and we'll review your current holdings, run the analysis and report back with a general set of recommendations for your consideration.
1
Select your objectiveTell us what you're trying to achieve or ask for a conversation first
2
We review your portfolioYour adviser analyses your current holdings against your objective
3
Receive your reportAn optimisation report lands here with proposed changes for you to consider
3
Reviews completed
New Optimisation Request
Select your objective and add any context — we'll take it from there
General Advice
1
Choose objective
2
Add context
3
Submit
Increase my yield
Generate more income from dividends and distributions
Increase growth potential
Take on more risk to target higher long-term returns
Reduce risk & exposure
Protect against a potential market correction or downturn
Align to a model portfolio
Move toward Defensive, Conservative, Balanced, Growth or High Growth
Rotate positions
Shift weighting toward sectors or stocks with better opportunities
Tax & cost optimisation
Harvest losses, manage CGT or reduce overall portfolio costs
Add more funds
Deploy additional capital into the portfolio — we'll suggest where it fits best
Allocate to a Model Portfolio
Apply a percentage of your portfolio to one of our model strategies
I'm not sure — let's have a chat first
Not sure what you need? Select this and your adviser will reach out to understand your goals before starting the review
186 / 500
Your adviser will review your portfolio and respond within 2 business days. General advice only — no changes will be made without your approval.
Your Current Portfolio
Key metrics at time of request
Total Value$284,621
Cash Available$28,460
1Y Return+12.84%
Cash Yield3.46%
Grossed Up Yield4.82%
Number of Holdings8
Largest PositionCBA 14.8%
Fixed Income0% — no holdings
What happens next
Request submitted
Your adviser receives your objective and a snapshot of your current portfolio
Adviser review
Your adviser analyses your holdings against your stated objective within 2 business days
Report delivered here
Your optimisation report appears below with proposed changes — no action is taken without your approval
General Advice Only
All optimisation reports are general in nature and do not take into account your personal financial situation or objectives. No changes will be executed without your explicit approval. Vested Equities Pty Ltd (AFSL 478987).
Portfolio Rebalances
Trade recommendations from your adviser — click View to read and respond
Optimisation Reports
Your review history — click any report to view in full
3 completed
Review in progress
Your current request is being reviewed — expected by 24 Apr 2025
Submitted 22 Apr 2025
12 February 2025
Personal Portfolio
Yield & Income
Income Yield Optimisation
Added Westpac (WBC) — increased portfolio yield by +0.8%
Trimmed CSL by 20 units — reduced low-yield drag
Rotated $12,400 of cash into WDS for yield & franking uplift
General Advice
Optimisation requests and reports are general in nature and are prepared without considering your personal financial situation, objectives or needs. No changes will be made to your portfolio without your explicit instruction and approval. Past review outcomes shown are for illustration only. Vested Equities Pty Ltd (AFSL 478987).
Dividends
Loading…
FY
Forecast Income
—
grossed up
Incl. estimated franking credits
Received to Date
—
% of forecast
payments received
Cash Yield
—
On current portfolio value
Based on portfolio value
Grossed Up Yield
—
Incl. franking credits
Incl. est. franking credits
Dividend Income — 24 Month View
Monthly income received and forecast (Apr 2024 – Mar 2026)
Received
Forecast
Dividend Income by Holding
Annual income, yield and franking breakdown
Security
Frequency
Last Div
Annual Div
Cash Yield
Franking
Grossed Up
Next Ex-Div
CBA
Commonwealth Bank
Financials
Half-yearly
$2.40
$1,603
3.80%
100%
5.43%
15 Aug 25
NAB
National Aust. Bank
Financials
Half-yearly
$0.85
$1,127
4.60%
100%
6.57%
12 May 25
WBC
Westpac Banking
Financials
Half-yearly
$0.75
$872
5.00%
100%
7.14%
20 Jun 25
WDS
Woodside Energy
Energy
Half-yearly
$1.24
$1,320
7.20%
50%
8.48%
28 Aug 25
BHP
BHP Group
Materials
Half-yearly
$1.08
$1,614
5.10%
100%
7.29%
5 Sep 25
VAS
Vanguard ASX 300
ETF
Quarterly
$0.92
$1,398
3.50%
75%
4.81%
30 Jun 25
IVV
iShares S&P 500
ETF — Intl
Quarterly
$1.84
$438
1.30%
0%
1.30%
30 Jun 25
CSL
CSL Limited
Healthcare
Half-yearly
$1.72
$347
1.20%
10%
1.23%
10 Sep 25
Total Annual Income
$8,719
3.46%
4.82%
Upcoming Dividends
Next 90 days — ex-div & payment dates
12
May
NABEx-Div
National Aust. Bank
Half-yearly — 100% franked
$0.85
per share
15
May
CBAPayment
Commonwealth Bank
$578 expected to account
$578
total payment
2
Jun
NABPayment
National Aust. Bank
$578 expected to account
$578
total payment
20
Jun
WBCEx-Div
Westpac Banking
Half-yearly — 100% franked
$0.75
per share
30
Jun
VASEx-Div
Vanguard ASX 300
Quarterly — 75% franked
$0.92
per unit
30
Jun
IVVEx-Div
iShares S&P 500
Quarterly — unfranked
$1.84
per unit
15
Jul
WBCPayment
Westpac Banking
$465 expected to account
$465
total payment
Franking Credits Received (FY25 YTD)
$1,842
From 8 dividend payments
↑ Tax offset applied at lodgement
Franking Credits Forecast (FY25 Full Year)
$3,831
Based on current holdings & franking rates
↑ Equivalent to $3,831 tax offset
Weighted Average Franking
71%
Across all dividend-paying holdings
General Advice
Dividend data is sourced from Sharesight. Forecast dividends are based on the last declared dividend per share and current holdings — actual payments may differ. Franking credit values are estimates only. Tax implications depend on your individual circumstances — please consult a registered tax adviser. Provided by Vested Equities Pty Ltd (AFSL 478987).
Model Portfolios
General AdviceThese model portfolios are general in nature and do not take into account your personal financial situation, objectives or needs. You should consider whether a model is appropriate for you before allocating. Vested Equities Pty Ltd holds an Australian Financial Services Licence.
Specialist Model Portfolios
Focused strategies targeting specific asset classes, themes or income objectives
Multi-Asset Model Portfolios
Diversified strategies blending growth and defensive assets to match different risk profiles
Loading model portfolios…
No models available at this time.
Methodology
Top 10 Holdings
Holdings are illustrative of the model. Actual portfolio composition may vary.
Trade Recommendations
Active
Past
All
General AdviceThis information is general in nature and does not consider your personal financial situation, objectives, or needs. Before acting on any of this content, you should assess whether it is appropriate for you and consult your adviser. Vested Equities Pty Ltd holds an Australian Financial Services Licence.
Filter by:
All
Australian Equities
International
Small Caps
Options
Structured Products
Funds
ETFs
LICs & LITs
Thematic
— recommendations
Live Recommendations
Currently active trade ideas
Recently Closed
Trades that have hit target, stop, or been actively closed
Loading recommendations…
No recommendations yet
Your adviser will publish trade recommendations here when they are live.
Corporate Deal Access
General AdviceCorporate deal access is general in nature and does not consider your personal financial situation, objectives, or needs. Allocations are subject to issuer appetite and broker availability. Speak to your adviser before participating. Vested Equities Pty Ltd holds an Australian Financial Services Licence.
Open Deals
Currently available for allocation
Recently Closed
Past deals — for reference
Closing prices sourced from EODHD, as at the most recent market close. Past performance is not a reliable indicator of future performance.
Loading deals…
No corporate deals available right now
Your adviser will share new opportunities as they become available.
CORPORATE DEAL · IPO
—
Summary
Overview
Investment Thesis
Use of Funds
Key Risks
Methodology
Stock Chart
Source: TradingView · interactive chart, 12-month default range
Risk Warning: Any potential investor should be aware that subscribing for Shares involves risks, and an investment in securities should be considered highly speculative.
Advice Warning: This webpage contains general financial advice and has been prepared without consideration of any specific investment objectives, financial situation or needs, a financial adviser should be consulted before any investment decision is made. Readers acting on this information without first consulting an adviser do so entirely at their own risk.
Conflicts of Interest Disclosure: Vested Equities Pty Ltd, its directors, associates and employees advise that they may hold securities companies mentioned in this webpage and may have an interest in and/or earn fees and other benefits or advantages, either directly or indirectly from client transactions arising from any information mentioned on this webpage and in documents published to this website.
Section 734(6) Notice: Where applicable, the offers of securities are made in, or accompanied by, a copy of the Disclosure Document. The Disclosure Document for the offer can be obtained by clicking on the links Deal Documents. Investors should consider the Disclosure Document in deciding whether to acquire the securities.
Vested Equities Pty Ltd ABN 54 601 621 390 (AFS License No 478987) and related entities and each of their respective directors, officers and agents believe that the information contained on this page has been obtained from reliable sources and that any estimates, opinions, conclusions or recommendations are reasonably held at the time of compilation. Vested Equities ABN 54 601 621 390 AFSL 478987.
Register Interest
Let your adviser know you'd like to discuss this opportunity.
Interest registered
Your adviser has been notified and will be in touch.
By registering interest, you authorise your adviser to contact you about this opportunity. Allocation is subject to availability and is not guaranteed.
Trade Now
Submit an indicative trade size to your adviser
Indication of intent only. Your adviser will contact you to confirm before any trade is executed. This is not an executable order. Vested Equities Pty Ltd holds AFSL 478987.
Which of your accounts should this be applied to?
Dollars
Shares
Submitted to your adviser
This is an indication of intent only. Your adviser will contact you to confirm before any execution.
Research
General AdviceResearch and reports are general in nature and do not consider your personal financial situation, objectives, or needs. Speak to your adviser before acting on anything contained within. Vested Equities Pty Ltd holds AFSL 478987.
Daily Reports
Weekly Reports
Research Notes
No research available yet.
—
All Clients
Across all advisers
—
Active
Fully onboarded
—
Insight (Free)
Basic plan
—
Premium
Analytics plan
—
Vested Private
Full service HNW
Total FUM
—
Loading...
Avg Portfolio Size
—
Per active client
Private Eligible
—
Insight clients > $500k FUM
Last CSV Upload
—
—
Data as at
—
Portfolio valuation date
All Clients
Loading...
Active
Inactive
Insight
Premium
Private
Client Name
Type
Adviser
Status
Service
Portfolio Value
Last Sync
Invite
Loading clients...
-e
Invite Client to Portal
For —
Used to log in. The client should use the email they typically use for Vested correspondence.
One login can access multiple accounts (Personal + SMSF + Trust etc). The first one is the default view on login.
What happens: the client receives an email with a secure setup link. You'll also see the link on the next screen so you can copy it manually if needed. The link is valid for 7 days.
Invitation sent
Email sent to —
The invite email was dispatched automatically. Use the link above as a backup if the client doesn't receive it.
Existing portal user
—
JM
James Mitchell
Individual · Personal PortfolioAdviser: Stuart McClureGold Coast, QLDActive
Portfolio Value
—
—
1Y Return
—
Requires Premium
TWRR incl. dividends
Grossed Up Yield
—
Annual income: —
Cash Available
—
Review deployment
Portfolio Performance
Total return vs ASX 200
Portfolio +12.84%
ASX 200 +9.20%
1M
3M
6M
1Y
All
Asset Allocation
Aust. Equities
50%
International
30%
Cash
20%
Dividend Income
Received
Forecast
FY Received
—
Requires Sharesight
Annual Estimate
—
Based on current yields
Gross Yield
—
Cash + holdings
Holdings
Buckets
Rebalances
Performance
Asset Allocation
Dividends
Portfolio Holdings
Incl. cost base and unrealised P&L
— positions
Export →
Security
Units
Price
Value
Weight
Cost Base
Unreal. G/L
Return %
Div Yield
Annual Div
Franking
Loading holdings...
Loading buckets…
Loading rebalances…
Review History
+ Schedule Review
No active reviews
Schedule a review or wait for client to submit an optimise request.
Adviser Notes
Loading notes…
Recent Activity
Client
⚠
Client setup incomplete
This client has no owner set. Link the person who owns this account as the head of the hierarchy to complete setup.
Client Structure
Service Plan
▲
Service Plan
Service Plan
CRM unavailable.
Email Subscriptions
▼
Email Subscriptions
CRM unavailable.
Campaign Restrictions
▼
Campaign Restrictions
CRM unavailable.
Upcoming Dividends
From holdings data
Loading...
Tax Reports
Sharesight reports
Portfolio Valuation
Performance Report
Capital Gains/Loss
Unrealised CGT
Trades
Taxable Income
Change plan?
This will immediately update their portal access.
Add Bucket
Buckets carve the portfolio into target allocations.
Name
Type
Type
Model portfolio
Asset class
Target percentage
—
Initial dollars (optional snapshot)
Manage Allocations
—
Ticker
Name
Weight %
Read-only — model constituents are managed at the model level.
Ticker
Name
Weight %
Manual price
—
Rebase Buckets to Current
Each ticked bucket's target % is overwritten with its current actual %. The change is logged to the audit trail.
Bucket
Target %
Current %
Δ
—
Start Rebalance
Creates a draft rebalance request and opens the worksheet.
Trigger
Title
Description (optional)
Checkout
—
Loading…
—
Positive = client contribution to be deployed. Negative = withdrawal funded by sales. Leave blank for a like-for-like rebalance.
Send to client
Confirm the email address this rebalance will be sent to.
Model Portfolios
Loading models…
Select a model to edit
Choose a model from the list or click "New Model" to create one.
Slug:—Active
Holdings
Total weight0.000%
Manage Advisers
—
Name
Code
Email
Role
Status
Clients
Last Login
Actions
Loading advisers…
New Adviser
Used to match clients to advisers in CSV uploads. Comma-separate multiple codes (e.g. JT2, JT3, LG2) — one adviser can own several books. Each code must be unique across the firm.
They can change this after their first login.
Profile (for later use in emails & reports)
Public URL to a square headshot. Used in client emails & bio.
Plain text or simple HTML. Will be appended to outgoing emails sent on behalf of this adviser.
Office direct line. Shown on trial adviser cards.
Personal mobile. Shown on trial adviser cards.
Digits only with country code (e.g. 61412345678). Powers the WhatsApp button on trial adviser cards.
Rebalance Queue
—
Draft
Awaiting adviser review
—
Sent
Awaiting client response
—
Accepted
Ready to execute
—
Executed
This month
Show:
All Active
Draft
Sent
Accepted
Expired
Active
—
Loading…
No rebalance requests
Nothing matches this filter.
Executed This Month
—
Client
Method
Review / Rebalance
Trades
Est. Value
Executed
Adviser
Manual Approval
Record verbal or offline client approval for this review
Client
BR
Brainsuper
Balanced Portfolio — Semi-Annual Rebalance
Approval Note (required — describe how approval was received)
Manual approvals are recorded against this review with your name, timestamp and the note above. This is your audit trail — ensure the note is accurate and complete.
Setup Queue
Show:
Active
All (incl. completed)
Active
—
Loading…
No setup requests
New client setup tasks will appear here.
·
Loading recommendation…
Sent:
Expires:
Why we're recommending this
Proposed trades
The proposals below are general advice and do not take your personal circumstances into account.
Commentary
Summary of portfolio improvements
Proposed Portfolio
Holding
Code
Units
Price
Value
TOTAL
Important notes
Your decision
You should consider your own personal financial situation and ensure these proposals align with your goals, risk appetite and objectives before approving the recommended transactions.
You can talk to your adviser before deciding.
Advice Warning: This webpage contains general financial product advice and does not constitute an offer or inducement to enter into a legally binding contract. It does not form part of the terms and conditions for Vested Equities products or services. The information provided on this webpage is not intended as, nor is it a substitute for, personal financial services advice. As this webpage has been prepared without consideration of any specific client's investment objectives, financial situation or needs, a financial adviser should be consulted before any investment decision is made. Readers acting on this information without first consulting an adviser do so entirely at their own risk.
Important Disclosure: Vested Equities Pty Ltd, its directors, associates and employees advise that they may hold securities, may have an interest in and/or earn brokerage and other benefits or advantages, either directly or indirectly from client transactions arising from any information mentioned on this website and in documents published to this website. Directors, associates and employees of Vested Equities Pty Ltd from time to time may hold shares in the security/securities mentioned on this website and in research documentation published on this website and, therefore, may benefit from any increase in the price of those securities.
Trade Recommendations
Drafts
Saved but not yet published
Ticker
Title
Type
Created
Creator
Actions
Live
Currently published recommendations
Ticker
Title
Type
Status
Entry
Target
Created
Creator
Actions
Closed
Completed and archived recommendations
Ticker
Title
Type
Status
Closed
Creator
Actions
Loading…
No recommendations yet
Click "+ New Recommendation" to create one.
Research Notes
Loading…
No research notes yet. Click + New Research Note to get started.
Drafts
Saved but not yet published
Ticker
Title
Rec
Target
Created
Creator
Updated
Actions
Live
Currently published research
Ticker
Title
Rec
Target
Status
Created
Creator
Updated
Actions
Archived
Older notes no longer published
Ticker
Title
Rec
Target
Created
Creator
Archived
Actions
Published Reports
Loading…
No reports uploaded yet.
Daily Reports
Daily broker news summary — pushed via the IB webhook, or built in the Morning Note builder
Vested Weekly Edge
Weekly market newsletter — sent to clients via Pipedrive after publish
Corporate Deals
Drafts
Saved deal drafts not yet published
Ticker
Title
Type
Eligibility
Raise
Created
Actions
Live
Currently active corporate deals
Ticker
Title
Type
Eligibility
Status
Raise
Closes
Actions
Closed
Completed and archived deals
Ticker
Title
Type
Status
Raise
Closed
Actions
Loading…
No corporate deals yet
Click "+ New Deal" to create one.
Trade Builder
Autosave ready
Content Type
📈 Trade Idea
📚 Research Note
Actionable trade idea with entry/target/stop levels and conviction reasoning. Appears in client Recommendations tab.Long-form research note. No specific levels needed. Appears in client Research tab.
Trade Type
Equity
Options
ETF
Structured Product
Fixed Income
Small Caps
Other
Optional First Step
Document Extraction
Upload a PDF (broker note, research report, or term sheet) and click Extract. Claude will read it and pre-fill the fields below. Review everything before saving.
Upload Document (PDF or Word)
Click to browse or drag and drop · PDF or Word (.docx)
Extraction Results
Section 1
Header
Identity and key metadata clients see immediately.
Recommendation Title
Ticker / Symbol
Company Name
Completed by Adviser
Direction
↑ Bullish
↓ Bearish
→ Neutral
Recommendation
Target Price
Report Date
Time Horizon
Date Issued
Entry Price
Target Price
Stop Loss
Market Cap
Price at release
Dividend Yield
Section 2
Summary
One tight paragraph. Client-facing. Fast to scan.
Section 2a
Trade Rec Page Summary
A short blurb shown on the client-facing Live Recommendations card. 1–2 sentences max. This is the headline pitch — clients click in for the full thesis.
Section 2b
Full Research Note
The main body of the research note. Markdown-style formatting permitted (line breaks, lists). Clients see this in the Research tab.
Section 3
Thesis
Each point becomes a dot point in the output. Keep each one a single conviction statement.
1
2
Section 4
Trade Setup
Practical, execution-focused. Adviser should be able to scan and know how to position.
1
Section 5
Risks
State downside factors clearly and professionally. One risk per point.
1
2
Section 6
Documents
Paste links to PDS docs, research notes, broker reports. Rendered as clickable list on the trade rec page.
Options
Strategy & Legs
Upload a broker screenshot to auto-extract, or fill in manually.
Strategy Details
Strategy Name
Underlying Symbol
Underlying Price
Days to Expiry
Contract Size
Strategy Metrics
Net Premium
Breakeven
Max Reward
Max Risk
Risk/Reward
POP
Current IV
IV Rank
Net Delta ($)
Time Decay/Day
Margin
Buying Power
Legs
Leg 1
Action
Type
Strike
Expiry
Premium
Delta
IV
Qty
Options Notes
Ready to save
Save as a draft to keep working on it, or publish so clients can see it.
Email Editor
Design the client email block by block. The web card, banner and compliance card stay driven by the Builder fields — edits here only shape the email body.
Sender is set automatically at send. The email goes out from the list's owner — the adviser whose list it is, or invest@vested.com.au for Vested house lists. Chosen on the Send tab, not here.
Click a block to edit, reorder or delete. Hover between blocks for + to insert.
Insert block
Live Preview
Web
Email
Card
This is what clients will see on the portal. Copy / export tools are on the Send tab.
Equity
Recommendation title will appear here
23 Apr 2025
Current Price
—
Entry
—
Target
—
Summary
Your summary will appear here as you type…
Investment Thesis
Thesis points will appear here…
Trade Setup
Trade setup items will appear here…
Key Risks
Risk points will appear here…
Advice Warning: This email contains general financial product advice and does not constitute an offer or inducement to enter into a legally binding contract. It does not form part of the terms and conditions for Vested Equities products or services. The information provided on this email is not intended as, nor is it a substitute for, personal financial services advice. As this email has been prepared without consideration of any specific client's investment objectives, financial situation or needs, a financial adviser should be consulted before any investment decision is made. Readers acting on this information without first consulting an adviser do so entirely at their own risk.
Important Disclosure: Vested Equities Pty Ltd, its directors, associates and employees advise that they may hold securities, may have an interest in and/or earn brokerage and other benefits or advantages, either directly or indirectly from client transactions arising from any information mentioned on this website and in documents published to this website. Directors, associates and employees of Vested Equities Pty Ltd from time to time may hold shares in the security/securities mentioned on this website and in research documentation published on this website and, therefore, may benefit from any increase in the price of those securities.
Send
Tick the advisers and lists that should receive this note. The sender resolves automatically to each list's owner.
Advisers & lists
Tick a whole list, or just clients or leads, for each adviser.
Equities listset by the Trade Type in the Builder — change it there to send to a different list.Equities
Adviser
Total list
Clients all
Leads all
Publish the note, then advisers with subscribers appear here.
Prefer to send it yourself?
Copy the email out of the portal to send from Outlook or another tool.
Or copy a single section
Send summary
—
0recipients selected
0
Clients
0
Leads
Sends from each ticked list's owner (Vested lists from invest@)
Sending to the Equities list
Shows in each client's Recommendations tab
Send a test first
Schedule for later (coming soon)
Corporate Deal Builder
Autosave ready
Deal Type
IPO
Placement
Shortfall Placement
Unlisted Deal
Step 1 — Recommended First Step
Term Sheet Extraction
Upload the PDF and click Extract. Claude reads the term sheet and fills in as many fields as it can find — regardless of broker format.
Upload Term Sheet (PDF or Word)
Click to browse or drag and drop · PDF or Word (.docx)
Extraction Results
Section 1
Identity
Core deal identity as it appears on the deal card and detail page.
Deal Title
Ticker / Symbol
Company Name
Sector
Status
Client Eligibility
Logo URL
Paste a URL to the company logo. Will appear on the deal card.
Section 2
Key Terms
These fields drive the deal card and detail page. Keep them tight and scannable.
Offer Price
Raise Size
Discount to Last
Share Price (last)
Market Cap
Min. Application
Open Date
Close Date
Close Time
Allocation Date
Settlement Date
Expected Listing
Section 3
Key Dates Timetable
Capture milestones exactly as they appear in the term sheet. Each row becomes a timetable entry.
Milestone
Date / Value
Milestone
Date / Value
Milestone
Date / Value
Section 4
Use of Funds
One row per use. Include dollar amounts where available from the term sheet.
Use
Amount
Use
Amount
Use
Amount
Use of Funds Summary (optional — auto-built from rows above, or write manually)
Section 5
Copy
Summary handles the fast scan on the deal card. Overview reads like a premium adviser note.
Summary — short, card-level
Overview — full detail page narrative
Section 6
Why We Like It
Each point becomes a dot point in the "Investment Rationale" section of the deal page.
1
2
Section 7
Key Risks
Keep risks balanced and specific. Advisers need to discuss these credibly with clients.
1
2
Section 8
Deal Attachments
Attach the term sheet, IM and presentation so clients can link directly to the latest docs.
Label
Type
URL or Upload
Section 9
Images
Upload images for this deal. Use each image's position dropdown to choose where it appears. Images render in the detailed email, public webpage, and in-portal Detail Page at the chosen position.
Ready to save
Save as a draft to keep working on it, or publish so clients can see it.
Email Editor
Design the client deal email block by block. The deal card and banner stay driven by the Builder fields — edits here only shape the email body.
Goes to the Corporate subscribers list. The compliance footer + sign-off are added automatically at send.
Click a block to edit, reorder or delete. Hover between blocks for + to insert.
Insert block
Live Preview
Web
Simple Email
Detailed Email
Deal Card
Detail Page
As it appears on the Corporate Deals page
IPOSector23 Apr 2025
MX
Company Name
Sector · ASX: TICKER (proposed)
Deal summary will appear here as you type…
View Term Sheet
View Presentation
Register Interest
Offer Price
—
Raise Size
—
Min. Application
—
Expected Listing
—
Offer Closes
—
Closes in —
As it appears on the deal detail page
IPO · Healthcare Technology
Deal title will appear here
ASX: TICKER · Min. $2,000 · Closes 25 Apr 2025
Offer Price
—
Raise Size
—
Min. Application
—
Discount
—
Listing Date
—
Offer Closes
—
Live Price Chart
Enter a ticker to load live chart
Overview
Overview narrative will appear here…
Why We Like It
Investment rationale points will appear here…
Key Risks
Risk points will appear here…
Timetable
Key dates will appear here…
Use of Funds
Fund uses will appear here…
Pipedrive Campaigns: paste Banner / Body / Footer into separate blocks — or copy the whole email.
Pipedrive Campaigns: paste Banner / Body / Footer into separate blocks — or copy the whole email.
Send
Tick the advisers whose Corporate subscribers should receive this deal. The sender resolves automatically to each list's owner.
Advisers & lists
Tick a whole list, or just clients or leads, for each adviser.
Corporate listall corporate deals send to the one Corporate subscribers list.
Adviser
Total list
Clients all
Leads all
Publish the deal, then advisers with subscribers appear here.
Prefer to send it yourself?
Copy the email out of the portal to send from Outlook or another tool.
Or copy a single section
Send summary
—
0recipients selected
0
Clients
0
Leads
Sends from each ticked list's owner (Vested lists from invest@)
Sending to the Corporate subscribers list
Shows in each client's Corporate Deals tab
Send a test first
Schedule for later (coming soon)
Charts
Loading chart…
Stock Screener
Filter, sort and search ASX-listed equities
Loading screener…
Trade Alerts
0
New
Contacted
Allocated
All
Loading alerts…
No alerts in this status.
Client Access
Create and manage client portal logins
Stage 2 — manual credential issue. Email infrastructure goes live next week. For now: clicking "Create Login" generates a temp password that you must show or read to the client over the phone. They'll be forced to change it on first login.
All
Active
Pending
No login yet
Locked
Loading…
Client
Email
Plan
Status
Last Login
Actions
Data Upload
Manually import the daily TPVEST CSVs from your morning email — holdings + CMA cash balances.
Daily Holdings CSV
Drag the TPVEST Client Holdings attachment from your email, or click to browse.
Last upload: —
Drop CSV here or click to browse
Accepts .csv files up to 20MB
Uploading…
0%
Daily CMA Cash Balances CSV
Drag the TPVEST CMA Balances attachment, or click to browse. Updates each client's cash balance shown alongside their holdings.
Last upload: —
Drop CMA balances CSV here or click to browse
Accepts .csv files up to 20MB
Uploading…
0%
What these uploads do
Holdings: parses each row (one row per holding per client), creates/updates clients, matches advisers via the Advisor Code column, and refreshes positions, dividends, and performance snapshots
Cash Balances: updates each client's CMA cash balance — adds to portfolio totals on the dashboard
Existing clients NOT in the file are left untouched (not deactivated)
Re-running with the same file is safe — both uploads are idempotent
Tip: upload holdings first, then cash. The dashboard portfolio total = holdings market value + cash. Both should be uploaded daily after market close.
Daily Morning Note
Build the client morning note from this morning's broker narrative (.docx) + market-data export (.xlsx), preview it, then publish to the client Daily Reports surface.
1 · Sources
Drop both files, then Build. Sources are parsed in memory and never stored.
Narrative
Drop .docx or click
Word broker summary
Market data
Drop .xlsx or click
Spreadsheet export (first sheet)
2 · Preview & publish
This is exactly what will be stored and what clients see. Re-publishing the same report date is safe — it replaces (supersedes) that day's note rather than adding a second.
Previous notes
Published daily notes, newest first. Click one to load its stored copy into the preview above.
Loading…
Morrison Brokerage Upload
Admin · drag the Morrison detailed billing report (.xls) to ingest per-transaction brokerage. Re-uploading is safe (idempotent).
1 · Report file
Morrison report
Drop .xls or click
VEST_DetailedBillingReport (legacy .xls)
2 · Result
My Brokerage
Brokerage revenue by period and provider. All figures exclude GST.
Vested Weekly Edge
Ready
AI drafting
Click Fetch Market Data to auto-populate Friday closes, commodities, FX and the calendar from public sources, then Generate Newsletter to draft prose for every section.
01
Header
Auto-generated from edition date
02
Personalised Intro
Not yet drafted
03
The Edge Featured
Not yet drafted
04
Last Week's Moves
Not yet drafted
Source data
Need ideas for the driver? Open
marketindex.com.au/asx
or tradingeconomics.com/australia/stock-market,
copy the daily wrap text, paste below and click Parse with AI. Claude will distill it into a single conviction-led sentence and fill the Main driver field above.
Image (optional)
05
Data That Mattered Last Week
Not yet drafted
Releases
Quick fill from a calendar source. Open
forexfactory.com/calendar?week=last
(or investing.com,
myfxbook),
filter to AU/US/CN, copy the high-impact rows, paste below and click Parse with AI. Claude will extract them into the table above.
Sends go out firm-wide. Use Send to me to proof, then
Send to advisers / Send to clients. Approve & Publish
posts the edition to the client portal under Research → Reports.
Portfolio Valuation
Loading…
Performance Report
Loading…
Capital Gains / Loss
Loading…
Unrealised CGT
Loading…
Trades
Loading…
Taxable Income
Loading…
Team
Loading team…
Login email & role are managed in Manage Advisers, not here.
Edit member
Organisations
Loading organisations…
Add contact
Add document
Choose your plan
Compare features and pricing tiers based on Funds Under Management.