Skip to content

Global Core and Macro Satellites

Last Login: 06/24/2026


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.

RegisterLogin
+2.5%
since 1/17/2026

+0.1%
Performance (1mo)

-
Volatility (max)

-6.3%
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 wikifolio follows a core-satellite approach and is managed using macroeconomic conditions, market trends and risk/return signals. The goal is to compound capital over the long term with a diversified equity core, while using tactical satellites to capture thematic, sector and regional opportunities. Position sizing and portfolio risk are monitored continuously; allocations can move within defined ranges depending on market regime, trend strength, volatility and valuation. Investment universe: Investments are made exclusively in stocks, ETFs and mutual funds available on the platform. No classic derivatives are used directly (e.g., options, futures, CFDs). No certificates and no leveraged or inverse products are used. No short selling is applied. Target allocation (ranges) - ~50% Core: Global equity exposure via a broad world ETF with an explicit emerging markets component. This block is designed to track long-term equity growth and remains structurally stable. - 20-40% Satellites: Tactical allocations via sector/theme and country/region ETFs (e.g., cybersecurity, semiconductors, defense, energy transition, selected countries). Satellites are actively increased or reduced based on trends and macro tailwinds/headwinds. - 10-30% Crypto & Commodities: Commodity exposure only via commodity ETFs/funds (where available). Crypto exposure, where available and permitted, via crypto-related ETFs/funds. These are treated as higher-volatility components and sized accordingly. Rebalancing & risk control: The core is reviewed regularly and rebalanced when weights drift. Satellite positions may be trimmed quickly if trends break, volatility rises or the macro backdrop deteriorates. In defensive phases, the portfolio may tilt toward lower-volatility/quality equity ETFs or short-term bond or money market ETFs/funds (where available) to reduce drawdowns. Concentration limits and liquidity considerations are applied. Typical holding horizon: months to years.

Master data

Symbol

WFCOREMACR

Date created

01/17/2026

Index level

-

High watermark

104.1

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.

RegisterLogin

For the composition of the virtual portfolio click here.