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Asset Allokation für Faule

Guido Stiel

 | HellBoy

Last Login: 12/16/2016


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+27.6%
since 11/18/2013

+2.2%
Ø-Perf. per year

+6.0%
Performance (1yr)

4.2%
Volatility (1yr)

0.5
Return/Risk



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Trading Idea

Mittels statistischer Verfahren und dem Markowitzansatz soll ein risikominimales Portfolio erstellt werden. Als Anlage werden ein Aktien-ETF und ein Renten-ETF gewählt. Die Positionierung soll einmal in der Woche neu analysiert und gegebenenfalls neu allokiert werden. Das Portfolio ist langfristig ausgerichtet

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Master data

Symbol

WF00188884

Date created

11/18/2013

Index level

-

High watermark

127.4

Investment Universe

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