+4.6%
since 4/7/2016
-
Ø-Perf. per year
-
Performance (1yr)
-
Volatility (1yr)
-
Return/Risk
Portfolio chart
DetailsFeed
Trading Idea
- Mischung aus passiver und aktiver Anlagestrategie - Streuung: 10% ruhen lassen, 20-30% in offene Immobilienfonds, 20-30 % Aktien, 20-30 % spekulativ, Rest alternative Anlagen - Quellen u.A. : Onvista, Börse Online, Telebörse
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Master data
Symbol
WFACFVD555
Date created
04/07/2016
Index level
-
High watermark
107.2