Mueckinvest was born out of the desire to offer investors a simple way to track the global market in just one portfolio position. Traditional strategies often consist of many individual securities or funds - complex to manage and susceptible to overweighting or underweighting individual market segments.
My approach therefore pursues a clear goal: a structured, globally diversified portfolio in a single position, supplemented by Clearly presented financial knowledge, that makes the underlying principles comprehensible.
This includes two components:
- Rule-based Wikifolio strategies, that combine diversification, structure and risk management
- Themdeep dives and financial knowledge, who explain, Why Markets work, like factors have an effect and which Topics are relevant in the long term
The deep dive topics shed light on key investment themes, market mechanisms and scientific findings - in a compact, understandable and directly applicable format. They help investors to recognise correlations, categorise decisions and better understand strategies.
With the umbrella wikifolio Global Layers the aim of a global market portfolio was consistently realised in one position. As a more compact alternative, the core wikifolio offers Smart Investing Worldwide a kind of „Global Layers light“.
Mueckinvest is thus aimed at both experienced investors looking for an efficient addition to existing portfolios and newcomers who want to gain access to a broadly diversified market portfolio with a single investment - and at the same time the knowledge to understand it.
Please note: Investments in Wikifolios are associated with risks. Past performance is not a reliable indicator of future results. Details can be found in the Imprint.

