SP2020_03

Performance

  • -5.3 %
    since 2020-11-04
  • -
    1 Year
  • -
    Ø-Performance per year
All fees have already been deducted

Risk

  • -5.9 %
    Maximum loss (to date)
  • 0.59×
    Risk factor
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Trading Idea

normaler Sparplan
Aktien und ETF
Laufzeit 3-5 Jahre geplant (können aber auch 10-15 Jahre werden)

Focus liegt auf Reduzierung der Aktien (BP, GP, ING, NISSAN, SHELL und evtl. AT&T)

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Master data

Symbol
WFSP202003
Date created
2020-11-04
Index level
High watermark
100.0

Rules

wikifolio labels

Investment Universe

Trader

Registered since 2019-01-07