Ökoworld AG (VVV3.DE) Stock Analysis & Winston Score
Ökoworld AG is a German financial services company that focuses entirely on ethical and sustainable investing. It manages mutual funds that only invest in companies meeting strict environmental, social, and governance (ESG) standards. Its main customers are individual retail investors in Germany and other German-speaking countries who want their money to avoid industries like weapons, fossil fuels, and tobacco. The company earns money through management fees charged on the assets it oversees, which is a recurring revenue model that grows as more money flows into its funds. Ökoworld operates primarily in Germany, Austria, and Switzerland, and its long track record in sustainable investing — dating back to the 1990s — gives it a recognizable brand in a niche market. The key risk is that its assets under management are tied closely to stock market performance and investor sentiment, meaning a prolonged market downturn or shift away from ESG investing could significantly reduce its fee income.
Winston Score: 62/100 — Good
A decent business — some strong pillars, some weaker.
- Quality: Exceptional (27/30)
- Growth: Weak (2/20)
- Cash Flow: Exceptional (9/10)
- Stability: Good (5/10)
- Valuation: Good (6/10)
- Ownership: Good (8/15)



