+86.9%
since 10/19/2018
+8.8%
Ø-Perf. per year
+22.3%
Performance (1yr)
24.8%
Volatility (1yr)
0.3
Return/Risk
Portfolio chart
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Trading Idea
The portfolio include shares and maybe ETFs from all over the world favoured in USA, Europe and Asia. Focused on fundamental analyses the shares are selected. Mostly it is planed to hold the shares more than 5 years. The half of the companies should pay dividends and have a value more than 10 billion dollars. A small part of shares are invested in smaller companies showed a interesting growth in the financial ratios.
Master data
Symbol
WF000MAN66
Date created
10/19/2018
Index level
-
High watermark
187.9


