Meine Portfolios haben einen klaren Fokus auf den Aktienmarkt. Renten und Rohstoffe können aber mit einem geringen Anteil beigemischt werden. Allerdings kann die Cashquote zeitweilig sehr hoch sein, wenn überwiegend negative Markttrends vorliegen. Großen Wert lege ich auch auf das Risikomanagement – hohe Diversifikation, Money Mangement und Trendfolge sind ganz wichtige Strategiebestandteile.

Experience in securities trading

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

All wikifolios of SCtrade

Status: Investable

Trader: SCtrade
Date created 2012-12-10
Performance since creation +36.1 %
Performance 1 month +1.7 %
Maximum loss (to date) -13.2 %
First issuance 2013-04-04
Performance fee 5 %
Symbol WFSCDAXHIT
Invested capital EUR 198,087.84
Regular activity
Actively diversified
Trader: SCtrade
Date created 2013-02-12
Performance since creation +30.2 %
Performance 1 month +1.6 %
Maximum loss (to date) -26.9 %
First issuance 2014-10-21
Performance fee 5 %
Symbol WFALLWORLD
Invested capital EUR 136,734.85
Regular activity

Status: Closed

Trader: SCtrade
Date created 2013-10-29
Performance since creation -1.6 %
Performance 1 month -
Maximum loss (to date) -6.9 %
First issuance -
Performance fee 5 %
Symbol WF0100DISC
Invested capital EUR 0.00
The invested capital may differ from the actual value due to the conversion of several currencies.