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Kauf in korrigierte Werte

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Last Login: 09/14/2020


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-23.5%
since 3/13/2014

-
Ø-Perf. per year

-
Performance (1yr)

-
Volatility (1yr)

-
Return/Risk



Portfolio chart

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Trading Idea

Das Portfolio besteht aus5 gleich großen Positionen. Es wird antizyklisch in die Werte investiert, die bereits gefallen sind und so bieten diese einen Sicherheitsabstand gg. dem inneren Wert. Es wird erst investiert, sobald sich eine Bodenbildung abzeichnet. In Bärenmärkten werden alle Positionen abgesichert.

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Master data

Symbol

WF12345432

Date created

03/13/2014

Index level

-

High watermark

82.8

Investment Universe

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