+4.2%
since 8/27/2018
-
Ø-Perf. per year
-
Performance (1yr)
-
Volatility (1yr)
-
Return/Risk
Portfolio chart
DetailsFeed
Trading Idea
Systematic Long Only ETF Global Macro Trend Following Portfolio Targets Exposure to Trending Global Equities, Bonds and Commodities Strtategy expects Absolute Annual Positive Performance in Every Market Environment Low Equity Beta (<0.3) Minimize Max Drawdown and Maximise Risk Adjusted Return No Discretionary Decision Making Risk Weighting System
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Master data
Symbol
WF00GMTF01
Date created
08/27/2018
Index level
-
High watermark
104.2