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Last Login: 07/09/2026


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+41.6%
since 3/15/2024

+16.4%
Ø-Perf. per year

+17.9%
Performance (1yr)

21.6%
Volatility (1yr)

0.8
Return/Risk



Portfolio chart

Details
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Trading Idea

**The Optimal Crisis Strategy: The Best Crisis is the Next Crisis** **Embrace the Potential Triggered by a World full of Crisis** Focus on the heightened potential of stocks triggered by crises. This involves steering clear of companies at risk due to excessive dependencies on uncertain markets, highlighting a strategy of precision and foresight. **Short-term Growth Potential: A 1-3 Year Horizon** Target stocks with a potential for significant price correction following a crisis-induced slump and subsequent revenue declines after years of robust growth. These stocks are selected for capitalizing on price gains, held as long as elevated growth rates are anticipated, embodying a strategy of agility and timely response. **Longevity through Diversification: The 3-10 Year Perspective** In contrast, medium to long-term stocks are retained to balance the portfolio, with a focus on navigating through rolling crises. This includes, but is not limited to: - Demographic shifts, for example companies alleviating symptoms such as companies leading in production automation, - Climate change, for example, emphasizing companies focused on water treatment, - Market growth stagnation due to transformation phases or structural economic weaknesses, like catching up in digitalization followed by a targeted investment focus in these areas, - Geopolitical strategy shifts, for example, companies in increased defense demand. This approach not only ensures immediate gains through adept crisis management but also secures a stable, growth-oriented future, navigating through the ebbs and flows of global shifts and market uncertainties with a well-rounded, crisis-resilient portfolio.

Master data

Symbol

WF000PAN1C

Date created

03/15/2024

Index level

-

High watermark

153.1

Investment Universe

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For the composition of the virtual portfolio click here.