Name: Steffen Mück
Year of birth: 1988
Main occupation: Computer scientist
I have been intensively involved in the financial markets since 2010 and pursue a disciplined, long-term investment approach. My strategies are based on clear structures, global diversification and the targeted use of thematic and factor-based opportunities. ETFs form the basis - for maximum transparency, efficiency and controlled risk management.
My wikifolios cover a variety of focal points: from stability-oriented multi-asset portfolios to high-growth thematic strategies and scientifically based factor approaches. Each portfolio follows a clearly defined concept with fixed weightings and structured rebalancing at the end of each quarter. Short-term speculation or hype play no role.
I invest worldwide, ensure a balanced allocation and specifically reduce cluster risks. My aim is to develop robust, understandable and scientifically sound portfolios - with clear rules and a global focus that takes different market phases into account. At the same time, I impart the knowledge that investors need to understand these approaches.
Guiding principle: Think globally. Disciplined implementation.
I am not a financial advisor - my strategies are publicly available, rule-based model portfolios. I invest according to the same principles myself.


