Working with securities since 2012 with fundamental knowledge based on a finance diploma and several value and behavioural finance related books / working papers. Primary focus on equities and derivatives. Practical experience in Investment Banking, Asset Management and the German large-cap industry. Investment strategy is a mix of quant based fundamental analysis with behavioural finance aspects.

Experience in securities trading

Risk class 1:  3 or more years
Risk class 2:  3 or more years
Risk class 3:  1 to 3 years
Risk class 4:  3 or more years
Risk class 5:  1 to 3 years

All wikifolios of GeorgJKopp

Status: Published

Trader: GeorgJKopp
Date created 2017-05-24
Performance since creation +4.9 %
Performance 1 month +0.8 %
Maximum loss (to date) -12.7 %
First issuance -
Performance fee 10 %
Symbol WF000SCAPE
Reservations 3
Medium to long term
Trader: GeorgJKopp
Date created 2017-05-31
Performance since creation +0.6 %
Performance 1 month -0.5 %
Maximum loss (to date) -13.9 %
First issuance -
Performance fee 10 %
Symbol WF00CAPEEU
Reservations 3
Medium to long term
The invested capital may differ from the actual value due to the conversion of several currencies.