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Dual Momentum Global ETF

MomentumInvest2

Last Login: 08/26/2020


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+18.7%
since 8/6/2020

+4.7%
Ø-Perf. per year

+17.9%
Performance (1yr)

14.1%
Volatility (1yr)

0.2
Return/Risk



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Trading Idea

Dual Momentum Strategie nach Gary Antonacci angewandt auf ein global diversifiziertes Portfolio. Erste Prüfung: Risiko ON oder Risiko OFF: Vergleich der 3 Monats Performance von Vanguard Total Bond Market Index und iShares USD Treasury Bond 1-3yr UCITS ETF (Dist). Wenn Total Bonds schlechter abgeschnitten haben als Treasury Bonds, dann Risiko ON, dann investiere 50% in iShares USD Treasury Bond 7-10yr UCITS ETF (Dist) und 50% in iShares Euro Government Bond 7-10yr UCITS ETF EUR (Dist). Bei Risiko off investiere je 25% in die 4 ETF`s mit der besten 3 Monats Rendite aus folgender Auswahl (Kürzel) 1. Entweder GDX (Goldminen) oder XAD1 (Gold in EUR gehedged) 2. Entweder QDVA (Momentum Aktien USA) oder NQSE (Nasdaq 100). 3. ESEH (S&P 500). 4. SPY4 (S&P 400 Midcap). 5. VDEV (FTSE Developed World). 6. EIMI (MSCI Emerging Markets). 7. IQQC (China Large Cap). 8. SPYJ (Global Real Estate). Bei Risk ON bleibe 3 Monate in Treasury Bonds investiert, danach Prüfung auf Risk OFF. Bei Risk OFF investiere jeweils nach 1 Monat neu in die 4 ETF`s mit der besten 3 Monats Rendite.

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Master data

Symbol

WFDMGLOBAL

Date created

08/06/2020

Index level

-

High watermark

121.9

Investment Universe

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