Adjusted Price per Share
$507.00
1521.00 ÷ 3 multiplier
Adjusted Shares Owned
User Portfolio Value
$152,100.00
Unrealized Gain: +$102,100.00
Post-Split Market Cap
$890,000,000
Zero Net Asset Dilution
Post-Split 30-Day Liquidity & Price Modeling
Simulated market depth progression and portfolio trajectory under retail accessibility shifts.
Post-Split Valuation ($)
Pre-Split Parity Baseline
Projected Liquidity Impact:
High (Optimized Retail Access)
Simulation Engine: Stochastic Drift (Geometric Brownian Motion + Retail Split Factor)
Comparative Corporate Action Summary
Ratio: 3-for-1
| Metric Dimension | Pre-Split Execution | Post-Split Adjusted | Impact Variance |
|---|---|---|---|
| Share Price / NAV | $1,521.00 | $507.00 | -66.7% Per Share |
| Investor Position (Shares) | 100 | 300 | +200% Share Count |
| Investor Portfolio Value | $152,100.00 | $152,100.00 | 0.0% (Value Preserved) |
| Cost Basis per Share | $500.00 | $166.67 | Pro-rata Adjusted |
| Fund Net Assets (AUM) | $890,000,000 | $890,000,000 | Exact Equilibrium |
| Cumulative Volume Base | $11,000,000,000 | $11,000,000,000 | Institutional Depth |