My name is Steffen Mück, born in 1988, I am a computer scientist and have been intensively involved with the financial markets since 2010.
My approach is clear:
rule-based, globally diversified and scientifically sound.
I develop investment strategies based on clear structures, fixed weightings and disciplined rebalancing.
ETFs form the basis for maximum transparency, efficiency and controlled risk management.
My Wikifolios cover different focus areas:
- stability-oriented multi-asset portfolios
- growth-oriented thematic strategies
- scientifically sound factor approaches
Each portfolio follows a clearly defined concept – without short-term speculation and without hype.
With Mueckinvest, I combine this experience with modern technology:
- structured deep dives
- a precise AI
- transparent strategies
This creates a system that provides you with clarity, orientation, and long-term discipline.
My goal is to develop robust, understandable and globally oriented investment approaches – while also providing the knowledge you need to understand them.
I am not a financial advisor.
My strategies are publicly accessible, rule-based model portfolios and do not constitute investment advice.
I invest according to the same principles myself.
leitmotifThink globally. Implement with discipline.


