+18.8%
since 3/12/2025
+1.3%
Performance (1mo)
21.6%
Volatility (max)
-16.1%
Max loss
-
Return/Risk
Portfolio chart
DetailsStock distribution
applies only to stocks (not to ETFs and structured products)
Share of stocks
Tags
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Trading Idea
This portfolio leverages multifactor investing and artificial intelligence (AI) to construct a highly adaptive, data-driven equity strategy. This long-only, equally weighted portfolio is designed to identify the top 40-60 global large-cap stocks based on a quantitative model that dynamically adjusts holdings every six months. By combining traditional financial factors with machine learning-driven insights, this approach seeks to outperform standard market indices while maintaining robust risk management. Semiannual Rebalancing, Global Equities, Long Only. No Leverage, 100% Quant driven.
Master data
Symbol
WF0AIQF567
Date created
03/12/2025
Index level
-
High watermark
117.9