To manage the fund, large volumes of digital data are analyzed using a “big data” approach. Special software programs (“artificial intelligence”) are also used to evaluate the data volumes. In combination with further information (such as security prices), trading indicators are derived. These trading indicators form the basis for the investment decision made by the portfolio management for the investment of the fund.
The fund will invest up to 100% of its assets in liquid equities and in liquid exchange-traded derivatives.
|Appropriation of earnings||Thesaurierend|
|Redemption price / NAV||96.00 EUR|
|Change to previous day||0.00%|
|Management fee per year||1,88%|
|Capital management company||Ampega Investment GmbH|
|Fund Management||LEHNER INVESTMENTS MANAGEMENT GmbH|