Tag: Volatility

  • 🎛️Grundlagen: Order types

    Wie man Kauf‑ und Verkaufsorders richtig setzt — und welche Fehler man unbedingt vermeiden solltest Viele Einsteiger glauben, man könne einfach „eine Aktie kaufen“ und fertig. In Wahrheit entscheidet der Ordertyp, wie deine Order ausgeführt wird — und ob du einen fairen Preis bekommst oder nicht. Dieser Deep Dive erklärt alle wichtigen Ordertypen so einfach…

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  • ⚡Factor strategy: Momentum

    Investing in stocks with strong trend behavior: The "momentum" factor strategy focuses on stocks that have performed exceptionally well in the recent past. The idea behind it: Trends tend to continue. Momentum ETFs systematically filter the strongest performers of the last few months and bundle them into a rules-based portfolio. 🔍 What does "momentum" mean? Momentum indices select companies based on their…

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  • 🇩🇪 TecDax

    Germany's Technology Index and Innovation Engine: The TecDAX comprises the 30 largest and most liquid German technology companies below and, in some cases, alongside the DAX. It reflects Germany's technological capabilities—from semiconductors and software to medical technology. The TecDAX is growth-oriented, volatile, and innovation-driven. 🌍 1. Why the TecDAX is so important 💻 Germany's Tech Showcase: The TecDAX demonstrates how competitive…

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  • January 2026: iShares MSCI North America (IE00B14X4M10)

    ✨ Why this ETF is in focus in January: The start of 2026 will continue to be heavily influenced by the US economy and large North American companies. Following a robust stock market year in 2025, driven by technology, communications, and consumer spending, North America remains the most important driver of global equity markets. This ETF shows how leading US and Canadian companies are performing at the start of the year…

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  • Issuer risk: January 2026

    Fundamental Analysis Lang & Schwarz 1. Financial Ratios 2. Profit and Distribution Policy 3. Risk Factors 4. Opportunities Assessment of Issuer Risk Comparison Table – Opportunities vs. Risks Factor Opportunities Risks Valuation (P/E Ratio) Attractively low (approx. 8.2) Limited growth potential in stagnant markets Dividend Policy High yield, shareholder-friendly Payout ratio of 75% % reduces flexibility Equity capital Fund for bank risks strengthened Dependence on trading volume remains…

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