Skip to content

SOGAMAN SELECT IV

Last Login: 01/26/2026


Blurred line chart showing the performance of a wikifolio as background

Want the full picture?

To view the wikifolio chart since its creation and compare it with benchmarks of your choice, register now – completely free of charge.

+8.0%
since 10/31/2025

+3.6%
Performance (1mo)

-
Volatility (max)

-6.8%
Max loss

-
Return/Risk



Portfolio chart

Details
Blurred pie chart showing the distribution of stocks by sectors and countries as background

Want the full picture?

To see which sectors and countries the stocks in this wikifolio are spread across, register now – completely free of charge.

Tags

Feed

Trading Idea

This trading strategy creates a concentrated portfolio of ten equally-weighted stocks (10% each) selected from the US, Canadian, and European markets. The core philosophy blends growth and momentum, aiming to identify high-quality companies that demonstrate strong market performance. The approach is designed to capitalize on accelerating trends by taking a medium-term view, with an intended holding period of 1 to 6 months, allowing time for the investment's upward trajectory and positive sentiment to continue. Positions are sold when they show signs of losing momentum, if their fundamental growth outlook deteriorates, or when a more compelling investment opportunity with stronger momentum and growth prospects arises.

Master data

Symbol

WF98000000

Date created

10/31/2025

Index level

-

High watermark

112.2

Investment Universe

Blurred table showing portfolio positions and key figures as background

Want the full picture?

To view the complete portfolio, all key figures, and previous trades, register now – completely free of charge.

For the composition of the virtual portfolio click here.