Cashcourse Steelers
Letzter Login: 29.12.2020
Performance
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+51,2 %seit 02.04.2019
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+24,2 %1 Jahr
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+24,1 %Ø-Performance pro Jahr
Risiko
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-19,6 %Max Verlust (bisher)
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-Risiko-Faktor
Handelsidee
Portfolio diversification across multiple asset classes. Our portfolio includes ETFs, structured leverage products and stock picking. Risk-friendly investment strategy, whereby we aim to achieve the highest possible return in times of high volatility. On average, we would like to hold the ETFs over a longer period (3-5 years).
Sources we used were Bloomberg, Yahoo Finance and Finanzen.net. mehr anzeigen
Sources we used were Bloomberg, Yahoo Finance and Finanzen.net. mehr anzeigen
Stammdaten
Symbol
|
WF0CSS2017 |
Erstellungsdatum
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02.04.2019 |
Indexstand | |
High Watermark
|
157,1 |
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Mitglied seit 02.04.2019