+18.8%
since 1/29/2025
+3.4%
Performance (1mo)
63.4%
Volatility (max)
-58.2%
Max loss
-
Return/Risk
Portfolio chart
DetailsStock distribution
applies only to stocks (not to ETFs and structured products)
Share of stocks
Tags
Feed
Trading Idea
Effektive Veranlagungen um einen Ferrari in kürzester Zeit zu verdienen. Kurz- und Mittelfristige Haltedauer Long und Short Flowtrading Aktien Derivate (Währungen, Vola, Aktien etc.) High Risk High Return
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Master data
Symbol
WF00FB1090
Date created
01/29/2025
Index level
-
High watermark
118.6