Wissenschaft

 
 
Portfolio Description

Das Portfolio beruht auf den Erkentnissen der Modernen Portfolio Theorie nach Fama-French. Es beruht auf dem 3 Faktoren Modell. Demnach outperformed ein passives Portfolio wenn es verstärkt auf die Komponenten Small Cap und Value Aktien setzt. Das Portfolio investiert Global und ist mit 50% Aktien und 50% Anleihen, ausgewogen eingestellt

 
0,29%
Fund fees
p.a.
0,38%
5 years p.a.
1,97%
Volatility 1 year
EUR
Currency
9
No. of funds
Risk category
Risk category
 
Allocation in detail
Asset class / Fund name Chart 4 weeks TER
in % p.a.
Weight
in %
 
Acciones, Estados Unidos, Pequeño
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Chart 4 weeks 0,40% 10,03%
 
Acciones, Europa, Valor
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Chart 4 weeks 0,40% 9,95%
 
Acciones, Europa, Pequeño
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Chart 4 weeks 0,35% 10,01%
 
Acciones, Estados Unidos, Valor
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Chart 4 weeks 0,40% 9,96%
 
Acciones, Europa, Valor
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Chart 4 weeks 0,15% 9,97%
 
Bonos, EUR, Mundial, Deuda corporativa, Todos los vencimientos
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Chart 4 weeks 0,20% 14,96%
 
Bonos, Mundial, Ligados a la inflación, Todos los vencimientos
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Chart 4 weeks 0,25% 4,99%
 
Bonos, Mundial, Deuda pública, Todos los vencimientos
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Chart 4 weeks 0,25% 19,90%
 
Bonos, Europa, Deuda corporativa, 3-5, Derivados de crédito
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Chart 4 weeks 0,24% 9,98%
Cartera   0,29% 99,75%
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