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Investorcorp 1

Last Login: 12/22/2025


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+37.9%
since 7/13/2015

+3.1%
Ø-Perf. per year

+11.3%
Performance (1yr)

13.7%
Volatility (1yr)

0.2
Return/Risk



Portfolio chart

Details
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Trading Idea

Das Portfolio ist ausgelegt auf das Erzielen langfristig stabiler Erlöse bei einer begrenzten Volatilität von nicht über 14 %. Die Asset Allocation wird dynamisch angepasst, wobei internationale Aktien, Bonds sowie Commodities marktabhängig unterschiedlich gewichtet sind. Benchmark ist der MSCI World kombiniert mit dem 3-Mon.-Euribor im Verhältnis 60/40. Mindestens soll eine durchschnittliche Langzeit-Performance von 4 % p.a. erreicht werden sowie eine Sharpe Ratio von 0,2 oder besser.

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Master data

Symbol

WF000WFIC1

Date created

07/13/2015

Index level

-

High watermark

137.6

Investment Universe

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For the composition of the virtual portfolio click here.