ファンド名02/0202/0302/0402/0502/06損益:%投資額特定口座ゴルプラ39,06933,05461,58663,56349,7909.96500,000S&P5001,955,7942,007,4801,969,5531,969,2001,882,40937.655,000,000オルカン4,154,5994,242,9064,248,7654,264,6694,095,17040.9510,000,000FANG+559,121563,
ファンド名02/0202/0302/0402/0502/06損益:%投資額特定口座ゴルプラ39,06933,05461,58663,56349,7909.96500,000S&P5001,955,7942,007,4801,969,5531,969,2001,882,40937.655,000,000オルカン4,154,5994,242,9064,248,7654,264,6694,095,17040.9510,000,000FANG+559,121563,
ファンド名01/2701/2801/2901/3001/31損益:%投資額特定口座ゴルプラ66,45378,78073,938100,964103,69420.74500,000S&P5001,912,2221,923,5121,867,9441,898,1091,912,04538.245,000,000オルカン4,077,5924,084,2894,029,8824,098,1004,116,93341.1710,000,000FANG+560,5755
ファンド名01/2001/2101/2201/2301/24損益:%投資額特定口座ゴルプラ34,54836,64845,04759,30172,11014.42500,000S&P5002,056,8732,085,4511,942,0342,023,5332,077,68941.555,000,000オルカン4,316,5654,338,7464,134,5104,241,6504,378,50543.7810,000,000FANG+601,023607
ファンド名01/1201/1301/1401/1501/16損益:%投資額特定口座ゴルプラ-41,97242,39241,58942,1578.43500,000S&P500-2,126,9062,157,0172,088,6262,115,61642.315,000,000オルカン-4,383,5274,461,3714,373,0644,410,73044.1110,000,000FANG+-642,440650,840615,417617,41561.
ファンド名01/0501/0601/0701/0801/09損益:%投資額特定口座ゴルプラ-2,84112,19220,36815,49016,2183.24500,000S&P5001,960,3801,978,7262,020,3572,004,8342,018,24140.365,000,000オルカン4,022,7674,098,1004,169,6664,133,2554,145,81041.4610,000,000FANG+605,310609,
ファンド名12/2912/3012/3101/0101/02損益:%投資額特定口座S&P5001,994,4261,974,140---39.485,000,000オルカン3,989,7043,963,338---36.6310,000,000FANG+647,464637,066---63.711,000,000SOX569,689564,206---56.421,000,000SBI-ゴールド962,652897,604---89.751,000,000
ファンド名12/2212/2312/2412/2512/26損益:%投資額特定口座S&P5001,947,8551,954,2061,962,3201,971,3171,997,60139.955,000,000オルカン3,896,7943,916,8833,933,6233,937,3903,988,86739.8910,000,000FANG+641,489634,680644,496642,769648,95864.91,000,000SOX550,35555
2025.1215-1219/下落して下落して下落して下落して・・・・
ファンド名12/1512/1612/1712/1812/19損益:%投資額特定口座S&P5001,868,8261,819,4331,784,3291,745,6961,809,73136.195,000,000オルカン3,753,2433,645,2663,555,2863,525,1533,640,66336.4110,000,000FANG+651,887602,128605,678584,087603,99160.41,000,000SOX526,92350
2025.1208-1212/含み益、初1000万円突破。が・・・
ファンド名12/0812/0912/1012/1112/12損益:%投資額特定口座S&P5001,876,4121,887,8781,919,4541,921,3951,928,80438.585,000,000オルカン3,711,8103,744,0363,795,5133,789,2363,821,46138.2110,000,000FANG+691,073698,018711,074697,087688,31968.831,000,000SOX574,9406
ファンド名12/0112/0212/0312/0412/05損益:%投資額特定口座S&P5001,880,2931,836,8971,860,0061,857,1841,857,00737.145,000,000オルカン3,673,7253,606,3443,658,6593,667,8663,670,79636.7110,000,000FANG+699,861691,325702,965686,068683,50868.351,000,000SOX523,2875
ファンド名11/2411/2511/2611/2711/28損益:%投資額特定口座S&P500-1,778,3311,818,7271,845,3641,876,94137.545,000,000オルカン-3,453,5863,549,0083,627,6893,687,11836.8710,000,000FANG+-682,091688,047685,603693,34369.331,000,000SOX-463,554461,418496,739503,6645
ファンド名11/1711/1811/1911/2011/21損益:%投資額特定口座S&P5001,710,9441,677,6041,631,5631,731,4071,635,97332.725,000,000オルカン3,436,8463,369,4653,252,2813,424,7093,315,05833.1510,000,000FANG+658,968654,390633,342662,925629,15162.911,000,000SOX465,9204
ファンド名11/1011/1111/1211/1311/14損益:%投資額特定口座S&P5001,670,1951,792,6201,803,0271,840,6021,715,00234.35,000,000オルカン3,315,4763,538,5453,592,1153,688,3733,496,69334.9710,000,000FANG+657,940702,655698,988697,960659,49265.951,000,000SOX487,38953
ファンド名11/0311/0411/0511/0611/07損益:%投資額特定口座S&P500-1,811,1421,692,5981,741,2861,631,38632.635,000,000オルカン-3,562,8193,331,7993,427,2203,260,65132.6110,000,000FANG+-720,075675,651685,797652,62465.261,000,000SOX-561,089490,563540,139495,5274
いまさらながら改めて。人の背景は人の数だけ無限。「普通のサラリーマン」とかではなく、ひとつのモデルケースとして。私の最終学歴は高卒です。おまけに新卒で就職していません。まずはそこからまとめていきます。〇経歴18歳:なんとなく働きたくないとの理由で、県外の(
ファンド名10/2710/2810/2910/3010/31損益:%投資額特定口座S&P5001,690,1291,753,2811,725,7621,778,8601,768,80535.385,000,000オルカン3,380,3463,474,9313,407,1313,511,3423,520,96735.2110,000,000FANG+657,261681,936695,031720,579704,18770.421,000,000SOX484,7345
ファンド名2025/10/202025/10/212025/10/222025/10/232025/10/24損益:%投資額特定口座S&P5001,478,2671,528,5431,578,4651,567,1751,624,15432.485,000,000オルカン2,976,4793,077,7603,167,7413,151,4193,258,55832.5810,000,000FANG+598,307622,381635,611616,755637,086
ファンド名2025/10/132025/10/142025/10/152025/10/162025/10/17損益:%投資額特定口座S&P500-1,532,6001,487,4401,473,5041,409,29328.195,000,000オルカン-3,033,3972,955,5532,968,9462,893,19528.9310,000,000FANG+-632,837597,608593,690581,17758.121,000,000SOX-426,
ファンド名2025/10/62025/10/72025/10/82025/10/92025/10/10損益:%投資額特定口座S&P5001,474,2101,528,0131,582,6991,639,6771,636,85532.745,000,000オルカン2,977,3163,063,9493,168,9963,271,5323,245,58432.4510,000,000FANG+585,387600,829613,826644,360653,03265.3
ファンド名2025/9/292025/9/302025/10/12025/10/22025/10/3損益:%投資額特定口座S&P5001,378,7751,381,4211,377,3641,357,0781,370,30827.415,000,000オルカン2,704,8632,726,6262,707,7932,681,4262,745,45927.4510,000,000FANG+581,604581,449572,467562,089568,93756.89
ファンド名2025/9/222025/9/232025/9/242025/9/252025/9/26損益:%投資額特定口座S&P5001,358,489-1,333,0871,354,2551,365,72127.315,000,000オルカン2,678,915-2,652,9672,694,8192,700,2592710,000,000FANG+604,185-574,931576,657580,98358.11,000,000SOX287,297-298,78
ファンド名2025/9/152025/9/162025/9/172025/9/182025/9/19損益:%投資額特定口座S&P500-1,279,1071,229,5371,241,8861,317,38726.355,000,000オルカン-2,552,9422,468,8202,498,1162,627,85626.2810,000,000FANG+-575,067560,653556,346587,71558.771,000,000SOX-245,10824
ファンド名2025/9/82025/9/92025/9/102025/9/112025/9/12損益:%投資額特定口座S&P5001,189,3171,156,6821,179,7911,199,9021,241,53324.835,000,000オルカン2,353,3102,311,0402,351,6362,394,3252,468,40224.6810,000,000FANG+532,175535,842540,944550,139544,10654.411,
ファンド名2025/9/12025/9/22025/9/32025/9/42025/9/5損益:%投資額特定口座S&P5001,117,1681,119,6381,138,1601,137,8071,199,01923.985,000,000オルカン2,194,6932,214,3632,227,7562,229,8482,329,03623.2910,000,000FANG+480,380480,942483,095502,242519,64351.961,000
ファンド名2025/8/252025/8/262025/8/272025/8/282025/8/29損益:%投資額特定口座S&P5001,129,5161,091,4131,133,2211,142,3941,140,98322.825,000,000オルカン2,257,4702,194,6932,232,3592,246,1702,230,68522.3110,000,000FANG+473,474472,290479,041484,492502,37850.24
ファンド名2025/8/182025/8/192025/8/202025/8/212025/8/22損益:%投資額特定口座S&P5001,113,6401,129,8691,087,3561,063,1881,081,88721.645,000,000オルカン2,216,0372,239,4742,174,6042,131,9162,185,06721.8510,000,000FANG+498,595502,553473,008459,390460,51546.05
ファンド名2025/8/112025/8/122025/8/132025/8/142025/8/15損益:%投資額特定口座S&P500-1,079,0651,122,2841,094,4121,136,74922.735,000,000オルカン-2,124,8012,191,7632,155,3532,233,61522.3410,000,000FANG+-489,458502,902484,531500,61350.061,000,000SOX-172,10120
ファンド名2025/8/42025/8/52025/8/62025/8/72025/8/8損益:%投資額特定口座S&P500915,538976,045973,5751,018,558997,21319.945,000,000オルカン1,773,2481,872,4361,910,1031,990,0391,997,99119.9810,000,000FANG+438,245459,467448,798477,140465,40446.541,000,000SOX1
ファンド名2025/7/282025/7/292025/7/302025/7/312025/8/1損益:%投資額特定口座S&P5001,063,1881,095,8231,065,8341,104,9961,139,92422.85,000,000オルカン2,090,4832,112,2462,070,3942,127,3122,179,62621.810,000,000FANG+468,042485,016477,004491,573508,58650.861,0
ファンド名2025/7/142025/7/152025/7/162025/7/172025/7/18損益:%投資額特定口座S&P500909,364944,645976,221973,3991,012,91320.265,000,000オルカン1,788,7331,851,9291,917,6361,897,1291,976,22819.7610,000,000FANG+432,076443,211464,007456,577466,82046.681,000,00
ファンド名2025/7/72025/7/82025/7/92025/7/102025/7/11損益:%特定口座S&P500821,867843,389871,260866,674914,48018.29オルカン1,613,3761,677,4081,741,8601,720,9341,805,05518.05FANG+431,106436,479437,702444,627433,97743.4SOX134,703126,450152,940150,112164,6561
ファンド名2025/6/302025/7/12025/7/22025/7/32025/7/4損益:%特定口座S&P500737,899723,257717,436742,133830,86416.62オルカン1,508,7471,466,8951,454,7581,499,1211,646,43816.46FANG+418,943416,673391,609400,902433,35643.34SOX117,215109,020101,229121,313136,3761
ファンド名2025/6/232025/6/242025/6/252025/6/262025/6/27損益:%特定口座S&P500611,240635,055671,924661,869698,73713.97オルカン1,255,9631,284,8411,376,4961,364,7781,430,06614.3FANG+354,654361,890374,790385,305404,10240.41SOX62,38863,48498,170106,596114,6181
ファンド名2025/6/162025/6/172025/6/182025/6/192025/6/20損益:%特定口座S&P500538,739617,238581,076562,553579,13511.58オルカン1,156,3571,299,0711,231,6901,185,6531,189,83811.9FANG+338,010362,278361,890352,772356,76935.68SOX27,29863,13856,32858,57961,7536.1
ファンド名2025/6/92025/6/102025/6/112025/6/122025/6/13損益:%特定口座S&P500577,547575,783615,474568,374549,32310.99オルカン1,222,4821,227,0861,289,0261,229,5971,167,65711.68FANG+352,501348,796352,462345,905342,21934.22SOX15,98634,16656,90548,88344,8434.4
2025/5/312025/6/7前週比資産残高27,128,22027,449,413321,193評価損益2,227,5742,448,743221,169リターン8.95%9.79%0.84% ファンド名2025/6/22025/6/32025/6/42025/6/52025/6/6損益:%特定口座S&P500445,068437,659514,042466,060476,8219.54オルカン960,910938,7291,07
2025/5/242025/5/31前週比資産残高26,818,69727,128,220309,523評価損益1,918,0512,227,574309,523リターン7.70%8.95%1.25% ファンド名2025/5/262025/5/272025/5/282025/5/292025/5/30損益:%特定口座S&P500311,001297,065469,941514,748454,2419.08オルカン759,605755,0
2025/5/172025/5/24前週比資産残高27,248,95426,818,697-430,257評価損益2,348,3081,918,051-430,257リターン9.43%7.70%-1.73% ファンド名2025/5/192025/5/202025/5/212025/5/222025/5/23損益:%特定口座S&P500536,093556,203494,990372,037390,3837.81オルカン1,075,1651
2025/5/102025/5/17前週比資産残高26,215,93827,248,9541,033,016評価損益1,315,2922,348,3081,033,016リターン5.28%9.43%4.15% ファンド名2025/5/122025/5/132025/5/142025/5/152025/5/16損益:%特定口座S&P500293,184538,739557,437523,744502,22310.04オルカン701,8501
2025/4/262025/4/26前週比資産残高25,776,09026,215,938439,848評価損益975,4521,315,292339,840リターン3.93%5.28%1.35% ファンド名2025/5/52025/5/62025/5/72025/5/82025/5/9損益:%特定口座S&P500--137,595182,049291,0675.82オルカン--430,233488,825676,3206.76FANG+
2025/4/262025/4/26前週比資産残高24,786,10025,776,090989,990評価損益-14,537975,452989,989リターン-0.05%3.93%3.98% ファンド名2025/4/282025/4/292025/4/302025/5/12025/5/2損益:%特定口座S&P50084,321-78,324103,549240,9684.82オルカン257,805-261,153317,234552,
2025/4/192025/4/26前週比資産残高23,687,51024,786,1001,098,590評価損益-1,113,128-14,5371,098,591リターン-4.49%-0.05%4.44% ファンド名2025/4/212025/4/222025/4/232025/4/242025/4/25損益:%特定口座S&P500-221,034-342,753-186,988-77,08827,8720.56オルカン-294,2
2025/4/122025/4/19前週比資産残高23,675,29823,687,51012,212評価損益-1,125,340-1,113,12812,212リターン-4.53%-4.49%0.04%ファンド名2025/4/142025/4/152025/4/162025/4/172025/4/18損益:%特定口座S&P500-80,264-26,990--183,989-179,756-3.6オルカン-194,610-55,663--2
2025/4/52025/4/12前週比資産残高24,552,32523,675,298-877,027評価損益-248,312-1,125,340-877,028リターン-1.00%-4.53%-3.53% ファンド名2025/4/72025/4/82025/4/92025/4/102025/4/11損益:%特定口座S&P500-263,371-209,921-361,276133,185-157,352-3.15オルカン-421,86
2025_0331-0404。週損益:-2,112,222。
2025/3/292025/4/5前週比資産残高26,664,54024,552,325-2,112,215評価損益1,963,910-248,312-2,212,222リターン7.95%-1.00%-8.95%ファンド名2025/3/312025/4/12025/4/22025/4/32025/4/4損益:%特定口座S&P500341,519382,444403,613367,09745,6890.91オルカン704,779711,8947
2025/3/222025/3/29前週比資産残高26,280,50726,664,540384,033評価損益1,579,8791,963,910384,031リターン6.40%7.95%1.55% ファンド名2025/3/242025/3/252025/3/262025/3/272025/3/28損益:%特定口座S&P500434,307572,608553,909505,927506,98610.14オルカン886,4151,100
2025/3/152025/3/22前週比資産残高25,499,83426,280,507780,673評価損益799,2041,579,879780,675リターン3.20%6.40%3.20%ファンド名2025/3/172025/3/182025/3/192025/3/202025/3/21損益:%特定口座S&P500371,155430,956379,093-402,9078.06オルカン748,305889,763850,422-85
2025/3/82025/3/15前週比資産残高26,291,12925,499,834-791,295評価損益1,590,500799,204-791,296リターン6.43%3.20%-3.23% ファンド名2025/3/102025/3/112025/3/122025/3/132025/3/14損益:%特定口座S&P500439,776268,840278,895313,118241,1454.82オルカン831,589532,35
2025/3/12025/3/8前週比資産残高26,910,34226,291,129-619,213評価損益2,309,6701,590,500-719,170リターン9.39%6.43%-2.96%ファンド名2025/3/32025/3/42025/3/52025/3/62025/3/7特定口座S&P500733,136584,251538,739577,371434,836オルカン1,211,1831,011,132947,5181,065,9
2025_0224-0228。週損益:-1,345,466。
2025/2/222025/3/1前週比資産残高28,255,80826,910,342-1,345,466評価損益3,655,1362,309,670-1,345,466リターン14.85%9.39%-5.46%ファンド名2025/2/242025/2/252025/2/262025/2/272025/2/28特定口座S&P500-747,425670,865683,919609,829オルカン-1,265,1711,129,9911,181,04
2025/2/152025/2/22前週比資産残高28,754,74228,255,808-498,934評価損益4,154,0703,655,136-498,934リターン16.89%14.85%-2.04% ファンド名2025/2/172025/2/182025/2/192025/2/202025/2/21特定口座S&P500937,588928,239961,932936,354861,735オルカン1,574,8721,569,8501,
2025/2/82025/2/15前週比資産残高28,208,05428,754,742546,688評価損益3,607,3824,154,070546,688リターン14.66%16.89%2.23%a ファンド名2025/2/102025/2/112025/2/122025/2/132025/2/14特定口座S&P500851,150-943,586976,221972,164オルカン1,369,381-1,534,2761,627,1871
2025/2/12025/2/8前週比資産残高28,295,08328,208,054-87,029評価損益3,994,4393,607,382-387,057リターン16.44%14.66%-1.78% ファンド名2025/2/32025/2/42025/2/52025/2/62025/2/7特定口座S&P5001,009,209950,113943,763910,599881,316オルカン1,600,4021,504,1431,509,16
2025/1/252025/2/1前週比資産残高28,920,78328,295,083-625,700評価損益4,620,1393,994,439-625,700リターン19.01%16.44%-2.57%ファンド名2025/1/272025/1/282025/1/292025/1/302025/1/31特定口座S&P5001,064,952958,5811,034,787971,105989,804オルカン1,689,5451,527,1611,
2025_0120-0124。週損益:+1,106,143。
2025/1/182025/1/25前週比資産残高27,814,64028,920,7831,106,143評価損益3,513,9964,620,1391,106,143リターン14.46%19.01%4.55% ファンド名2025/1/202025/1/212025/1/222025/1/232025/1/24特定口座S&P500978,691979,3961,010,6201,084,5331,110,288オルカン1,496,1911,52
2025/1/112025/1/18前週比資産残高28,297,27527,814,640-482,635評価損益3,996,6293,513,996-482,633リターン16.44%14.46%-1.98%ファンド名2025/1/132025/1/142025/1/152025/1/162025/1/17特定口座S&P500978,338873,554899,485946,409888,019オルカン1,508,3281,287,3521,358
1/7特定口座(TOPIX)を全額売却。投資額は100万円で税引き後の利益は28,390円。2024年3月中旬に購入したもので、運用期間は長くはありませんが正直微妙過ぎました。迷うことなく売る対象にできことだけはよかったかもしれません。1/8NASDAQ100を新NISA(成長枠)で100万円分
2025/1/42025/1/11前週比資産残高27,206,07728,297,2751,091,198評価損益4,205,4823,996,629-208,853リターン18.28%16.44%-1.84%ファンド名2025/1/62025/1/72025/1/82025/1/92025/1/10特定口座S&P500985,0411,037,610965,813987,864978,336オルカン1,497,4471,621,3271,516,2
2024年の資産運用結果。+4,205,487(+18.28%)
ファンド名取得金額評価損益評価額総リターン特定口座S&P5005,000,0001,029,8486,029,84820.60%オルカン10,000,4181,586,59111,587,00915.87%TOPIX1,000,00034,6601,034,6603.47%FANG+1,000,004403,5591,403,56340.36%SOX1,000,000126,1031,126,10312.61%SBI-ゴールド1,000,0
2024/12/212024/12/28前週比資産残高26,681,88827,455,407773,519評価損益3,681,2944,454,813773,519リターン16.00%19.36%3.36% ファンド名2024/12/232024/12/242024/12/252024/12/262024/12/27特定口座S&P500933,1781,004,4461,067,9511,069,8921,096,705オルカン1,393,23
2024/12/142024/12/21前週比資産残高26,639,69226,681,88842,196評価損益3,639,0993,681,29442,195リターン15.82%16.00%0.18% ファンド名2024/12/162024/12/172024/12/182024/12/192024/12/20特定口座S&P500944,292981,160937,588807,402915,185オルカン1,470,2431,518,791
2024/12/72024/12/14前週比資産残高26,152,56326,639,692487,129評価損益3,151,9713,639,099487,128リターン13.70%15.82%2.12%ファンド名2024/12/92024/12/102024/12/112024/12/122024/12/13特定口座S&P500823,102853,444848,504917,126909,187オルカン1,260,1491,343,0151,3
2024/11/302024/12/7前週比資産残高25,670,25526,152,563482,308評価損益2,769,6793,151,971382,292リターン12.09%13.70%1.61%ファンド名2024/12/22024/12/32024/12/42024/12/52024/12/6特定口座S&P500780,412784,999782,353839,508816,399オルカン1,142,1281,162,6351,176,4
2024/11/232024/11/30前週比資産残高26,171,60825,670,255-501,353評価損益3,271,0312,769,679-501,352リターン14.28%12.09%-2.19% ファンド名2024/11/252024/11/262024/11/272024/11/282024/11/29特定口座S&P500872,319889,783871,437807,049767,535オルカン1,347,6181,35
2024/11/162024/11/23前週比資産残高26,548,89426,171,608-377,286評価損益3,648,3153,271,031-377,284リターン15.93%14.28%-1.65%a ファンド名2024/11/182024/11/192024/11/202024/11/212024/11/22特定口座S&P500777,413805,638844,800853,444862,264オルカン1,177,7011,2
2024/11/92024/11/16前週比資産残高26,282,83626,548,894266,058評価損益3,382,2593,648,315266,056リターン14.76%15.93%1.17% ファンド名2024/11/112024/11/122024/11/132024/11/142024/11/15特定口座S&P500852,209884,491911,128943,233948,526オルカン1,344,2701,406,21
2024/11/22024/11/9前週比資産残高24,927,77626,282,8361,355,060評価損益2,127,1713,382,2591,255,088リターン9.32%14.76%5.44%ファンド名2024/11/42024/11/52024/11/62024/11/72024/11/8特定口座S&P500527,802548,970632,762842,683829,100オルカン865,071929,1031,070,143
2024/10/282024/11/2前週比資産残高25,347,25524,927,776-419,479評価損益2,546,6512,127,171-419,480リターン11.16%9.32%-1.84%ファンド名2024/10/282024/10/292024/10/302024/10/312024/11/1特定口座S&P500678,627674,570697,679691,152527,802オルカン1,138,3611,142,1281
2024/10/192024/10/26前週比資産残高25,152,37325,347,255194,882評価損益2,351,7692,546,651194,882リターン10.31%11.16%0.85%ファンド名2024/10/212024/10/222024/10/232024/10/242024/10/25特定口座S&P500583,545622,354643,170643,875632,762オルカン993,1361,038,3361,0
2024/10/122024/10/19前週比資産残高24,787,51725,152,373364,856評価損益1,986,9122,351,769364,857リターン8.71%10.31%1.60%ファンド名2024/10/142024/10/152024/10/162024/10/172024/10/18特定口座S&P500472,587587,250530,977569,786587,250オルカン826,5671,019,084899,
2024/10/52024/10/12前週比資産残高24,180,89924,787,517606,618評価損益1,380,2941,986,912606,618リターン6.05%8.71%2.66%ファンド名2024/10/72024/10/82024/10/92024/10/102024/10/11特定口座S&P500438,894365,862430,779512,278472,587オルカン809,408707,709757,512885,
2024/9/282024/10/5前週比資産残高24,157,82024,180,89923,079評価損益1,457,2311,380,294-76,937リターン6.41%6.05%-0.36%ファンド名2024/9/302024/10/12024/10/22024/10/32024/10/4特定口座S&P500214,860287,539232,148349,280325,995オルカン426,048534,025437,767680,505
2024/9/212024/9/28前週比資産残高23,384,55924,157,820773,261評価損益683,9721,457,231773,259リターン2.95%6.41%3.46%ファンド名2024/9/232024/9/242024/9/252024/9/262024/9/27特定口座S&P500193,339233,559231,619268,487323,878オルカン290,868356,993392,148472,08562
2024/9/142024/9/21前週比資産残高22,682,06023,384,559702,499評価損益-18,526683,972702,498リターン-0.08%2.95%3.03%ファンド名2024/9/162024/9/172024/9/182024/9/192024/9/20特定口座S&P50040,92648,33580,263137,772193,339オルカン-19,252-2,09369,892179,543290,868T
2024/9/72024/9/14前週比資産残高22,586,90122,682,06095,159評価損益-113,685-18,52695,159リターン-0.50%-0.08%0.42%ファンド名2024/9/92024/9/102024/9/112024/9/122024/9/13特定口座S&P500-85,732-2,293-29,28349,57040,926オルカン-191,680-71,148-154,014-25,948-19,25
2024/8/312024/9/7前週比資産残高23,167,32622,586,901-580,425評価損益566,749-113,685-680,434リターン2.50%-0.50%-3.00%ファンド名2024/9/22024/9/32024/9/42024/9/52024/9/6特定口座S&P500254,904288,068114,83950,27516,053オルカン443,626505,566191,68040,596-16,322T
2024/8/242024/8/31前週比資産残高23,320,98223,167,326-153,656評価損益720,403566,749-153,654リターン3.18%2.50%-0.68%ファンド名2024/8/262024/8/272024/8/282024/8/292024/8/30特定口座S&P500144,828175,170162,645141,124150,649オルカン233,113299,657275,801245,6682
2024/8/172024/8/24前週比資産残高23,621,50023,320,982-300,518評価損益1,020,920720,403-300,517リターン4.51%3.18%-1.33%ファンド名2024/8/192024/8/202024/8/212024/8/222024/8/23特定口座S&P500225,092223,504183,108198,278182,402オルカン359,504361,597289,614313,
2024/8/102024/8/17前週比資産残高22,337,93423,621,5001,283,566評価損益-262,6461,020,9201,283,566リターン-1.16%4.51%5.67%あ ファンド名2024/8/122024/8/132024/8/142024/8/152024/8/16特定口座S&P500-5,82182,381111,311256,492オルカン--52,73374,914136,017395,915
2024/8/32024/8/3前週比資産残高23,043,12722,337,930-705,197評価損益542,543-262,646-805,189リターン2.41%-1.16%-3.57%ファンド名2024/8/52024/8/62024/8/72024/8/82024/8/9特定口座S&P500-57,331-221,034-103,196-166,819-8,114オルカン-262,409-505,148-292,961-359,08
2024/7/272024/8/3前週比資産残高23,649,35923,043,127-606,232評価損益1,148,776542,543-606,233リターン5.10%2.41%-2.69%ファンド名2024/7/292024/7/302024/7/312024/8/12024/8/2特定口座S&P500333,404348,928265,841250,318175,170オルカン586,758605,591473,759413,49324
2024/7/202024/7/27前週比資産残高24,966,82223,649,359-1,317,463評価損益2,466,2371,148,776-1,317,461リターン10.90%5.10%-5.80%ファンド名2024/7/222024/7/232024/7/242024/7/252024/7/26特定口座S&P500510,337541,737502,223288,421287,539オルカン921,988956,725877,20
2024/7/132024/7/20前週比資産残高24,522,47724,966,822444,345評価損益3,021,8922,466,237-555,655リターン14.05%10.90%-3.15%ファンド名2024/7/152024/7/162024/7/172024/7/182024/7/19特定口座S&P500644,933668,924708,969533,799548,088オルカン1,206,5791,230,8521,283,
2024/7/62024/7/13前週比資産残高25,637,11524,522,477-1,114,638評価損益3,136,5283,021,892-114,636リターン13.93%14.05%0.12%売却分の預り金を除外しているため、資産残高の差が大きいです。ファンド名2024/7/82024/7/92024/7/102024/7/112024/7/12特定口座S&P500685,1546
損益週報_20240706。日本株4.3ブルプラ転。+552,747
2024/6/292024/7/6前週比資産残高24,784,36525,637,115852,750評価損益2,583,7813,136,528552,747リターン11.63%13.93%2.30%*資産と評価の差額はNISA入金の30万。ファンド名2024/7/22024/7/32024/7/42024/7/52024/7/6特定口座S&P500590,778622,531654,107678,098667,690オル
2024/6/222024/6/29前週比資産残高24,398,59224,784,365385,773評価損益2,198,0072,583,781385,774リターン9.90%11.63%1.73%ファンド名2024/6/242024/6/252024/6/262024/6/272024/6/28特定口座S&P500547,559519,687548,970592,542607,712オルカン952,959939,985979,7441,039,
2024/6/152024/6/22前週比資産残高24,019,13024,398,592379,462評価損益1,818,5442,198,007379,463リターン8.19%9.90%1.71%ファンド名2024/6/172024/6/182024/6/192024/6/202024/6/21特定口座S&P500432,014481,407503,105509,985528,860オルカン744,449799,364855,863880,974
2024/6/82024/6/15前週比資産残高23,538,27424,019,130480,856評価損益1,336,9401,818,544481,604リターン6.02%8.19%2.17%ファンド名2024/6/102024/6/112024/6/122024/6/132024/6/14特定口座S&P500328,112353,161363,392398,144425,310オルカン650,791681,761660,416729,0537
2024/6/12024/6/8前週比資産残高23,208,82023,538,274329,454評価損益1,007,5151,336,940329,425リターン4.53%6.02%1.49%ファンド名2024/6/32024/6/42024/6/52024/6/62024/6/7特定口座S&P500262,665245,201214,155292,478292,478オルカン551,602541,558434,837580,062604,336
2024/5/252024/6/1前週比資産残高23,088,03623,208,820120,784評価損益1,186,7311,007,515-179,216リターン5.41%4.53%-0.88%ファンド名2024/5/272024/5/282024/5/292024/5/302024/5/31特定口座S&P500278,366280,659297,594265,841205,687オルカン603,080628,191633,632540,72
2024/5/182024/5/25前週比資産残高22,980,71123,088,036107,325評価損益1,079,4651,186,731107,266リターン4.92%5.41%0.49%ファンド名2024/5/202024/5/212024/5/222024/5/232024/5/24特定口座S&P500244,144268,840276,602282,247251,376オルカン577,969625,261612,287623,169
2024/5/112024/5/18前週比資産残高22,521,70522,980,711459,006評価損益620,3991,079,465459,066リターン2.83%4.92%2.09%ファンド名2024/5/132024/5/142024/5/152024/5/162024/5/17特定口座S&P500164,056175,522206,746181,520226,680オルカン398,008434,000490,081440,69653
2024/5/42024/5/11前週比資産残高21,553,69522,521,705968,010評価損益-46,848620,399667,247リターン-0.21%2.83%3.04%ファンド名2024/5/62024/5/72024/5/82024/5/92024/5/10特定口座S&P50059,44894,200117,133145,710オルカン189,587253,620301,749352,390TOPIX7,627-6,952-
2024/4/272024/5/4前週比資産残高21,539,87221,553,69513,823評価損益-60,670-46,84813,822リターン-0.28%-0.21%0.07%ファンド名2024/4/292024/4/302024/5/12024/5/22024/5/3特定口座S&P50086,08540,397-35,104オルカン240,646166,98742,270TOPIX6,5171,4481,062FANG+28,4971
2024/4/202024/4/27前週比資産残高21,178,64721,539,872361,225評価損益-421,892-60,670361,222リターン-1.95%-0.28%1.67% ファンド名2024/4/222024/4/232024/4/242024/4/252024/4/26特定口座S&P500-128,246-83,968-24,873-2,293-17,817オルカン-202,980-118,8588,78946,0362
2024/4/62024/4/13前週比資産残高21,991,23121,178,647-812,584評価損益360,685-421,892-782,577リターン1.80%-1.95%-3.75%ファンド名2024/4/152024/4/162024/4/172024/4/182024/4/19特定口座S&P500-18,699-47,982-46,218-85,379-86,438オルカン-4,604-53,570-99,607-144,806
2024/4/62024/4/13前週比資産残高20,458,63621,991,2311,532,595評価損益-141,827360,685502,512リターン-0.68%1.80%2.48%ファンド名2024/4/82024/4/92024/4/102024/4/112024/4/12前日差特定口座S&P5003,8808,11510,5842,11641,98439,868オルカン30,55164,45162,35853,5691
ファンド名2024/4/82024/4/92024/4/102024/4/112024/4/12前日差特定口座S&P5003,8808,11510,5842,116-8,468オルカン30,55164,45162,35853,569-8,789TOPIX91710,5726,1797,7231,544FANG+3,9577,1977,15810,0872,929SOX12,69315,12023,48914,601-8,888日本株4.3ブル-82,737-42,
ファンド名2024/4/82024/4/92024/4/102024/4/112024/4/12特定口座S&P5003,8808,11510,584オルカン30,55164,45162,358TOPIX91710,5726,179FANG+3,9577,1977,158SOX12,69315,12023,489日本株4.3ブル-82,737-42,824-67,607SBI-ゴールド―-784,901新NISA(成長)NASDAQ43,38344,0
余裕資金を残して、貯金していた分は投資へ投入し終えました。 今後は損益の推移やらを上げていくだけのBOTブログになると思います。 ファンド名2024/4/82024/4/92024/4/102024/4/112024/4/12特定口座S&P5003,8808,115オルカン30,55164,451TOPIX91710,572FANG+3,9577,197SOX
ファンド名02/0202/0302/0402/0502/06損益:%投資額特定口座ゴルプラ39,06933,05461,58663,56349,7909.96500,000S&P5001,955,7942,007,4801,969,5531,969,2001,882,40937.655,000,000オルカン4,154,5994,242,9064,248,7654,264,6694,095,17040.9510,000,000FANG+559,121563,
ファンド名01/2701/2801/2901/3001/31損益:%投資額特定口座ゴルプラ66,45378,78073,938100,964103,69420.74500,000S&P5001,912,2221,923,5121,867,9441,898,1091,912,04538.245,000,000オルカン4,077,5924,084,2894,029,8824,098,1004,116,93341.1710,000,000FANG+560,5755
ファンド名01/2001/2101/2201/2301/24損益:%投資額特定口座ゴルプラ34,54836,64845,04759,30172,11014.42500,000S&P5002,056,8732,085,4511,942,0342,023,5332,077,68941.555,000,000オルカン4,316,5654,338,7464,134,5104,241,6504,378,50543.7810,000,000FANG+601,023607
ファンド名01/1201/1301/1401/1501/16損益:%投資額特定口座ゴルプラ-41,97242,39241,58942,1578.43500,000S&P500-2,126,9062,157,0172,088,6262,115,61642.315,000,000オルカン-4,383,5274,461,3714,373,0644,410,73044.1110,000,000FANG+-642,440650,840615,417617,41561.
ファンド名01/0501/0601/0701/0801/09損益:%投資額特定口座ゴルプラ-2,84112,19220,36815,49016,2183.24500,000S&P5001,960,3801,978,7262,020,3572,004,8342,018,24140.365,000,000オルカン4,022,7674,098,1004,169,6664,133,2554,145,81041.4610,000,000FANG+605,310609,
ファンド名12/2912/3012/3101/0101/02損益:%投資額特定口座S&P5001,994,4261,974,140---39.485,000,000オルカン3,989,7043,963,338---36.6310,000,000FANG+647,464637,066---63.711,000,000SOX569,689564,206---56.421,000,000SBI-ゴールド962,652897,604---89.751,000,000
ファンド名12/2212/2312/2412/2512/26損益:%投資額特定口座S&P5001,947,8551,954,2061,962,3201,971,3171,997,60139.955,000,000オルカン3,896,7943,916,8833,933,6233,937,3903,988,86739.8910,000,000FANG+641,489634,680644,496642,769648,95864.91,000,000SOX550,35555
ファンド名12/1512/1612/1712/1812/19損益:%投資額特定口座S&P5001,868,8261,819,4331,784,3291,745,6961,809,73136.195,000,000オルカン3,753,2433,645,2663,555,2863,525,1533,640,66336.4110,000,000FANG+651,887602,128605,678584,087603,99160.41,000,000SOX526,92350
ファンド名12/0812/0912/1012/1112/12損益:%投資額特定口座S&P5001,876,4121,887,8781,919,4541,921,3951,928,80438.585,000,000オルカン3,711,8103,744,0363,795,5133,789,2363,821,46138.2110,000,000FANG+691,073698,018711,074697,087688,31968.831,000,000SOX574,9406
ファンド名12/0112/0212/0312/0412/05損益:%投資額特定口座S&P5001,880,2931,836,8971,860,0061,857,1841,857,00737.145,000,000オルカン3,673,7253,606,3443,658,6593,667,8663,670,79636.7110,000,000FANG+699,861691,325702,965686,068683,50868.351,000,000SOX523,2875
ファンド名11/2411/2511/2611/2711/28損益:%投資額特定口座S&P500-1,778,3311,818,7271,845,3641,876,94137.545,000,000オルカン-3,453,5863,549,0083,627,6893,687,11836.8710,000,000FANG+-682,091688,047685,603693,34369.331,000,000SOX-463,554461,418496,739503,6645
ファンド名11/1711/1811/1911/2011/21損益:%投資額特定口座S&P5001,710,9441,677,6041,631,5631,731,4071,635,97332.725,000,000オルカン3,436,8463,369,4653,252,2813,424,7093,315,05833.1510,000,000FANG+658,968654,390633,342662,925629,15162.911,000,000SOX465,9204
ファンド名11/1011/1111/1211/1311/14損益:%投資額特定口座S&P5001,670,1951,792,6201,803,0271,840,6021,715,00234.35,000,000オルカン3,315,4763,538,5453,592,1153,688,3733,496,69334.9710,000,000FANG+657,940702,655698,988697,960659,49265.951,000,000SOX487,38953
ファンド名11/0311/0411/0511/0611/07損益:%投資額特定口座S&P500-1,811,1421,692,5981,741,2861,631,38632.635,000,000オルカン-3,562,8193,331,7993,427,2203,260,65132.6110,000,000FANG+-720,075675,651685,797652,62465.261,000,000SOX-561,089490,563540,139495,5274
いまさらながら改めて。人の背景は人の数だけ無限。「普通のサラリーマン」とかではなく、ひとつのモデルケースとして。私の最終学歴は高卒です。おまけに新卒で就職していません。まずはそこからまとめていきます。〇経歴18歳:なんとなく働きたくないとの理由で、県外の(
ファンド名10/2710/2810/2910/3010/31損益:%投資額特定口座S&P5001,690,1291,753,2811,725,7621,778,8601,768,80535.385,000,000オルカン3,380,3463,474,9313,407,1313,511,3423,520,96735.2110,000,000FANG+657,261681,936695,031720,579704,18770.421,000,000SOX484,7345
ファンド名2025/10/202025/10/212025/10/222025/10/232025/10/24損益:%投資額特定口座S&P5001,478,2671,528,5431,578,4651,567,1751,624,15432.485,000,000オルカン2,976,4793,077,7603,167,7413,151,4193,258,55832.5810,000,000FANG+598,307622,381635,611616,755637,086
ファンド名2025/10/132025/10/142025/10/152025/10/162025/10/17損益:%投資額特定口座S&P500-1,532,6001,487,4401,473,5041,409,29328.195,000,000オルカン-3,033,3972,955,5532,968,9462,893,19528.9310,000,000FANG+-632,837597,608593,690581,17758.121,000,000SOX-426,
ファンド名2025/10/62025/10/72025/10/82025/10/92025/10/10損益:%投資額特定口座S&P5001,474,2101,528,0131,582,6991,639,6771,636,85532.745,000,000オルカン2,977,3163,063,9493,168,9963,271,5323,245,58432.4510,000,000FANG+585,387600,829613,826644,360653,03265.3
ファンド名2025/9/292025/9/302025/10/12025/10/22025/10/3損益:%投資額特定口座S&P5001,378,7751,381,4211,377,3641,357,0781,370,30827.415,000,000オルカン2,704,8632,726,6262,707,7932,681,4262,745,45927.4510,000,000FANG+581,604581,449572,467562,089568,93756.89
2025/2/12025/2/8前週比資産残高28,295,08328,208,054-87,029評価損益3,994,4393,607,382-387,057リターン16.44%14.66%-1.78% ファンド名2025/2/32025/2/42025/2/52025/2/62025/2/7特定口座S&P5001,009,209950,113943,763910,599881,316オルカン1,600,4021,504,1431,509,16
2025/1/252025/2/1前週比資産残高28,920,78328,295,083-625,700評価損益4,620,1393,994,439-625,700リターン19.01%16.44%-2.57%ファンド名2025/1/272025/1/282025/1/292025/1/302025/1/31特定口座S&P5001,064,952958,5811,034,787971,105989,804オルカン1,689,5451,527,1611,
2025/1/182025/1/25前週比資産残高27,814,64028,920,7831,106,143評価損益3,513,9964,620,1391,106,143リターン14.46%19.01%4.55% ファンド名2025/1/202025/1/212025/1/222025/1/232025/1/24特定口座S&P500978,691979,3961,010,6201,084,5331,110,288オルカン1,496,1911,52
2025/1/112025/1/18前週比資産残高28,297,27527,814,640-482,635評価損益3,996,6293,513,996-482,633リターン16.44%14.46%-1.98%ファンド名2025/1/132025/1/142025/1/152025/1/162025/1/17特定口座S&P500978,338873,554899,485946,409888,019オルカン1,508,3281,287,3521,358
1/7特定口座(TOPIX)を全額売却。投資額は100万円で税引き後の利益は28,390円。2024年3月中旬に購入したもので、運用期間は長くはありませんが正直微妙過ぎました。迷うことなく売る対象にできことだけはよかったかもしれません。1/8NASDAQ100を新NISA(成長枠)で100万円分
2025/1/42025/1/11前週比資産残高27,206,07728,297,2751,091,198評価損益4,205,4823,996,629-208,853リターン18.28%16.44%-1.84%ファンド名2025/1/62025/1/72025/1/82025/1/92025/1/10特定口座S&P500985,0411,037,610965,813987,864978,336オルカン1,497,4471,621,3271,516,2
ファンド名取得金額評価損益評価額総リターン特定口座S&P5005,000,0001,029,8486,029,84820.60%オルカン10,000,4181,586,59111,587,00915.87%TOPIX1,000,00034,6601,034,6603.47%FANG+1,000,004403,5591,403,56340.36%SOX1,000,000126,1031,126,10312.61%SBI-ゴールド1,000,0
2024/12/212024/12/28前週比資産残高26,681,88827,455,407773,519評価損益3,681,2944,454,813773,519リターン16.00%19.36%3.36% ファンド名2024/12/232024/12/242024/12/252024/12/262024/12/27特定口座S&P500933,1781,004,4461,067,9511,069,8921,096,705オルカン1,393,23
2024/12/142024/12/21前週比資産残高26,639,69226,681,88842,196評価損益3,639,0993,681,29442,195リターン15.82%16.00%0.18% ファンド名2024/12/162024/12/172024/12/182024/12/192024/12/20特定口座S&P500944,292981,160937,588807,402915,185オルカン1,470,2431,518,791
2024/12/72024/12/14前週比資産残高26,152,56326,639,692487,129評価損益3,151,9713,639,099487,128リターン13.70%15.82%2.12%ファンド名2024/12/92024/12/102024/12/112024/12/122024/12/13特定口座S&P500823,102853,444848,504917,126909,187オルカン1,260,1491,343,0151,3
2024/11/302024/12/7前週比資産残高25,670,25526,152,563482,308評価損益2,769,6793,151,971382,292リターン12.09%13.70%1.61%ファンド名2024/12/22024/12/32024/12/42024/12/52024/12/6特定口座S&P500780,412784,999782,353839,508816,399オルカン1,142,1281,162,6351,176,4
2024/11/232024/11/30前週比資産残高26,171,60825,670,255-501,353評価損益3,271,0312,769,679-501,352リターン14.28%12.09%-2.19% ファンド名2024/11/252024/11/262024/11/272024/11/282024/11/29特定口座S&P500872,319889,783871,437807,049767,535オルカン1,347,6181,35
2024/11/162024/11/23前週比資産残高26,548,89426,171,608-377,286評価損益3,648,3153,271,031-377,284リターン15.93%14.28%-1.65%a ファンド名2024/11/182024/11/192024/11/202024/11/212024/11/22特定口座S&P500777,413805,638844,800853,444862,264オルカン1,177,7011,2
2024/11/92024/11/16前週比資産残高26,282,83626,548,894266,058評価損益3,382,2593,648,315266,056リターン14.76%15.93%1.17% ファンド名2024/11/112024/11/122024/11/132024/11/142024/11/15特定口座S&P500852,209884,491911,128943,233948,526オルカン1,344,2701,406,21
2024/11/22024/11/9前週比資産残高24,927,77626,282,8361,355,060評価損益2,127,1713,382,2591,255,088リターン9.32%14.76%5.44%ファンド名2024/11/42024/11/52024/11/62024/11/72024/11/8特定口座S&P500527,802548,970632,762842,683829,100オルカン865,071929,1031,070,143
2024/10/282024/11/2前週比資産残高25,347,25524,927,776-419,479評価損益2,546,6512,127,171-419,480リターン11.16%9.32%-1.84%ファンド名2024/10/282024/10/292024/10/302024/10/312024/11/1特定口座S&P500678,627674,570697,679691,152527,802オルカン1,138,3611,142,1281
2024/10/192024/10/26前週比資産残高25,152,37325,347,255194,882評価損益2,351,7692,546,651194,882リターン10.31%11.16%0.85%ファンド名2024/10/212024/10/222024/10/232024/10/242024/10/25特定口座S&P500583,545622,354643,170643,875632,762オルカン993,1361,038,3361,0
2024/10/122024/10/19前週比資産残高24,787,51725,152,373364,856評価損益1,986,9122,351,769364,857リターン8.71%10.31%1.60%ファンド名2024/10/142024/10/152024/10/162024/10/172024/10/18特定口座S&P500472,587587,250530,977569,786587,250オルカン826,5671,019,084899,
2024/10/52024/10/12前週比資産残高24,180,89924,787,517606,618評価損益1,380,2941,986,912606,618リターン6.05%8.71%2.66%ファンド名2024/10/72024/10/82024/10/92024/10/102024/10/11特定口座S&P500438,894365,862430,779512,278472,587オルカン809,408707,709757,512885,
2024/9/282024/10/5前週比資産残高24,157,82024,180,89923,079評価損益1,457,2311,380,294-76,937リターン6.41%6.05%-0.36%ファンド名2024/9/302024/10/12024/10/22024/10/32024/10/4特定口座S&P500214,860287,539232,148349,280325,995オルカン426,048534,025437,767680,505