+44.4%
since 9/29/2018
+6.1%
Ø-Perf. per year
+21.6%
Performance (1yr)
24.6%
Volatility (1yr)
0.4
Return/Risk
Portfolio chart
DetailsTags
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Trading Idea
Strong businesses. Understanding of core business and global economic development makes the difference. Shares, indices rarely FX. Holding period between days to years. Target holding period between 3 months and two years.
Master data
Symbol
WF000BFIF1
Date created
09/29/2018
Index level
-
High watermark
156.8