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Calm Before The Storm

Oliver Hägel

 | OliverHaegel

Last Login: 03/03/2026


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-78.4%
since 8/12/2012

-10.4%
Ø-Perf. per year

+154.8%
Performance (1yr)

46.6%
Volatility (1yr)

-0.3
Return/Risk



Portfolio chart

Details
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Trading Idea

"Calm Before The Storm" - Der Name ist Programm. Durch den vorwiegend antizyklischen Ansatz kann es schon ein bisschen dauern bis die Rakete zündet. Investiert wird weltweit in Aktien (All Caps), Indizes (Long/Short), Rohstoffe (Long/Short) und Spezialthemen (Volatilität, CO2 usw.). Die ungenutzten liquiden Mittel werden in Hochzinsphasen eventuell in einem schwankungsarmen Geldmarkt- bzw. Pfandbrief-ETF geparkt. Geplante Asset Allocation in voll investierten Zeiten: # 90% antizyklisch (Haltedauer eher mittel- bis langfristig) # - Aktien (Fundamentaler Ansatz) - Indizes (Long: extreme Underperformer / Short: extreme Outperformer) - Rohstoffe (Long: extreme Underperformer / Short: extreme Outperformer) - Spezialthemen # 10% prozyklisch (Haltedauer eher kurz- bis mittelfristig) # - Aktien (Technischer Ansatz)

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Master data

Symbol

WFBLUENOSE

Date created

08/12/2012

Index level

-

High watermark

23.3

Investment Universe

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For the composition of the virtual portfolio click here.