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Jackass Event Strategie

Last Login: 02/11/2025


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+58.9%
since 10/30/2017

+5.7%
Ø-Perf. per year

+8.3%
Performance (1yr)

21.8%
Volatility (1yr)

0.3
Return/Risk



Portfolio chart

Details
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Trading Idea

Der Plan ist es, 1. Trends (kurz-, mittel- und langfristig) in der Technologiewelt zu erkennen und 2. Ereignisse vorherzusagen und 3. daraus Positionen in den folgenden Bereichen abzuleiten: 1. 0% - 40% - Hebel (kurzfristige Eregnisse - Long und Short) 2. 20% - 30% - Aktien (News, Trends und Fundamentaldaten von Technologieunternehmen) 3. 20% - 30% - ETFs (Langfristige Trends) 4. 0% - 60% - Cash (für Phasen der Unsicherheit) Die Reihenfolge spiegelt die ideale Lebensdauer der Positionen in den Bereichen wider (aufsteigend, versteht sich). Eine Korrektur (<20%) im Jahr 2018 wird als wahrscheinlich angesehen, der Beginn eines nachhaltigen Bärenmarkts allerdings nicht.

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Master data

Symbol

WF00JES001

Date created

10/30/2017

Index level

-

High watermark

174.8

Investment Universe

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For the composition of the virtual portfolio click here.