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Smooth min variance

Last Login: 11/15/2020


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-6.3%
since 6/17/2019

-0.9%
Ø-Perf. per year

-0.9%
Performance (1yr)

0.0%
Volatility (1yr)

-22.0
Return/Risk



Portfolio chart

Details

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Trading Idea

Minimalisierung der Return-Varianz durch Asset Allkotation mit alternativen Werten. Aktienquote nach Marktgegebenheiten zwischen 0 und 50 Prozent, Bondallokation 50, alternative Asset Classes zwischen 0 und 50 Prozent.

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Master data

Symbol

WF0SMOOTH1

Date created

06/17/2019

Index level

-

High watermark

93.8

Investment Universe

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For the composition of the virtual portfolio click here.