Portfolio Price/Fair Value

The portfolio price/fair value ratio measures value by dividing the market price of an ETF or index by the aggregate, asset-weighted fair value estimate of the stocks in the portfolio that are covered by Morningstar equity analysts.

Depending on the coverage rate, the fair value estimate may not include all of the stocks in the portfolio. As such, when calculating the fair value estimate, we assume that all stocks not under coverage are trading at fair value.

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