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Global Quant 6-Faktor Strategy

Last Login: 03/16/2026


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+0.1%
since 3/13/2026

-
Performance (1mo)

-
Volatility (max)

0.0%
Max loss

-
Return/Risk



Portfolio chart

Details
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Trading Idea

Systematische globale Aktienstrategie auf Basis eines proprietären Multi-Faktor-Scoring-Modells. Das Modell bewertet ~1.000 Aktien aus den wichtigsten Industrieländer-Indizes (USA, Europa, Japan, Hongkong) anhand von Qualität, Wachstum, Bewertung und Risikokennzahlen. Portfolio: Top 30 Aktien gleichgewichtet. Quartalsweises Rebalancing mit Hysterese-Mechanismus zur Minimierung von Transaktionskosten. Alle Berechnungen erfolgen EUR-adjustiert mit vollständiger Währungsbereinigung. Rein regelbasiert, kein diskretionäres Trading. Keine Emerging Markets mit Inflations-Bias. Backtest 2019–2025: +20.3% CAGR, Sharpe Ratio 1.06, Max Drawdown -15.4%.

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Master data

Symbol

WF0GQUANT6

Date created

03/13/2026

Index level

-

High watermark

100.0

Investment Universe

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For the composition of the virtual portfolio click here.