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Asset Allokation 0815

Martin Ott

 | MOInvest

Last Login: 12/18/2025


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-0.5%
since 12/29/2016

-0.1%
Ø-Perf. per year

-0.4%
Performance (1yr)

5.4%
Volatility (1yr)

0.0
Return/Risk



Portfolio chart

Details
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Trading Idea

Das wikifolio soll in der Regel aus ca. 15 Werten bestehen. Portfoliogewichte sollen grundsätzlich anhand einer quantitativen Aktien Analyse zum Jahresende-/anfang ermittelt werden. In der Regel mind. 1/4-jährig soll eine Überprüfung der Allokation und ggf. eine Anpassung stattfinden. Es soll grundsätzlich mittels ETFs, Fonds und Anlagezertifikaten an der Marktentwicklung partizipiert werden. Ziel soll grundsätzlich eine aus meiner Sicht geringe Vola (Standardabweichung) sein.

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Master data

Symbol

WF00AA0815

Date created

12/29/2016

Index level

-

High watermark

101.9

Investment Universe

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