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Risk-Fit

First, a risk-benefit assessment is carried out for each product, the so-called risk fit. The risk fit depends on an investor's individual risk preference. This classification is monitored by continuously calculating the product risk, taking into account all influencing factors such as

  • Price and volatility of the underlying asset
  • Interest and dividends
  • Foreign currency component
  • Creditworthiness of the issuer
  • Runtime
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