Im überwiegenden werde ich auf Buy and Hold setzen und gute Titel für uns Arbeiten lassen. Dem Markt werde ich mich natürlich anpassen und Gelegenheiten mitnehmen. Starke Wachstumswerte werden mitgenommen und Zukunftstunternehmen.

Experience in securities trading

Risk class 1:  0 to 1 year
Risk class 2:  0 to 1 year
Risk class 3:  0 to 1 year
Risk class 4:  0 to 1 year
Risk class 5:  0 to 1 year

All wikifolios of MrFlop

Status: Published

Trader: MrFlop
Date created 2018-04-30
Performance since creation +1.9 %
Performance 1 month +0.4 %
Maximum loss (to date) -17.5 %
First issuance -
Performance fee 25 %
Symbol WF000TGROW
Reservations 4
Focus USA
Regular activity
Trader: MrFlop
Date created 2018-05-14
Performance since creation +2.1 %
Performance 1 month +3.1 %
Maximum loss (to date) -13.4 %
First issuance -
Performance fee 10 %
Symbol WF00DIVMOX
Reservations 2
Regular activity
Actively diversified
Trader: MrFlop
Date created 2018-09-12
Performance since creation -1.5 %
Performance 1 month +2.9 %
Maximum loss (to date) -19.3 %
First issuance -
Performance fee 5 %
Symbol WF000LACHS
Reservations 3
Regular activity
Focus EUROPE
Medium to long term
Trader: MrFlop
Date created 2019-01-03
Performance since creation +4.0 %
Performance 1 month -
Maximum loss (to date) -2.4 %
First issuance -
Performance fee 5 %
Symbol WFWF00DIV1
Reservations 1
Regular activity
The invested capital may differ from the actual value due to the conversion of several currencies.