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SIC PM ETF-Sektorallokation

Last Login: 01/08/2023


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+12.0%
since 5/9/2022

+3.2%
Ø-Perf. per year

+2.7%
Performance (1yr)

20.5%
Volatility (1yr)

0.2
Return/Risk



Portfolio chart

Details

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Trading Idea

Mit Hilfe von taktischer Über-/Untergewichtung der GICS-Sektoren soll langfristig eine Outperformance gegenüber dem MSCI World erzielt werden. Dabei werden auf qualitative, wie auch quantitative Aspekte der Aktien-Allokation Wert gelegt.

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Master data

Symbol

WFSICPMETF

Date created

05/09/2022

Index level

-

High watermark

113.7

Investment Universe

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To see the current portfolio of this wikifolio, the wikifolio chart, all key figures and previous trades, register now - completely free of charge.

For the composition of the virtual portfolio click here.