Index Long-Short

Performance

  • +9.5 %
    since 2016-05-09
  • +13.4 %
    1 Year
  • +2.0 %
    Ø-Performance per year
All fees have already been deducted

Risk

  • -17.9 %
    Maximum loss (to date)
  • -
    Risk factor
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Trading Idea

In diesem Portfolio werden verschiedene Derivate auf den wichtigsten deutschen Aktienindex kombiniert. Anhand von charttechnischen Signalen und impliziter Volatilität sollen dabei Positionen auf fallende, steigende und seitwärts laufende Kurse (und Volatilität) eingegangen werden. show more
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Master data

Symbol
WF00DAXLSD
Date created
2016-05-09
Index level
High watermark
109.6

Rules

wikifolio labels

Investment Universe

Trader

Registered since 2016-01-18

Decision making

  • Technical analysis
  • Fundamental analysis
  • Other analysis