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Moarls Nebenwerte

Thomas Mayr

 | Moarl

Last Login: 01/04/2025


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+55.3%
since 1/16/2014

+4.1%
Ø-Perf. per year

+23.1%
Performance (1yr)

13.1%
Volatility (1yr)

0.3
Return/Risk



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Trading Idea

Den Anlageschwerpunkt sollen überwiegend meiner Meinung nach niedrig bewertete Nebenwerte vorwiegend aus der DACH Region bilden. Kriterien zur Aufnahme sollen unter anderem niedriges KGV, hohe Eigenkapitalquote, hohe EBIT Marge und hohe Eigenkapitalrendite sein. In der Regel sollen mindestens ca. 10 Wertegehalten werden. Der Anlagehorizont soll überwiegend mittel- bis langfristig sein. In bestimmten Marktphasen soll auch Cash vorgehalten werden. Im Anlageuniversum sollen sich alle verfügbaren Aktienwerte befinden. Es können also in Ausnahmefällen auch andere Aktien gekauft werden.

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Master data

Symbol

WFMOARL003

Date created

01/16/2014

Index level

-

High watermark

155.1

Investment Universe

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