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        Der Grundgedanke dieses wikifolios soll grundsätzlich die Diversifikation sein. Es sollen als Anlageklassen Aktien, Renten und Immobilien (in Form von Einzeltitel, ETFs oder aktiver Fonds) bevorzugt werden. Im Aktienbereich soll dabei auf eine weltweite Streuung, sowie auf brachenübergreifende Unternehmen geachtet werden. Dabei können sowohl Value-, als auch Growth-Werte ausgewählt werden. Der Rentenbereich wird über aktive Fonds und ETFs dargestellt. Der Immobilienbaustein wird möglichst über Immobilienfonds dargestellt. Zusammengefasst soll die Portfoliotheorie von Markovitz in einem wikifolio zusammengestellt werden. \r\n
        Es sollen nicht nur fundamentale Daten (KGV, Dividendenrendite usw.) zur Auswahl passender Wertpapiere zugrunde gelegt werden, sondern es soll auch die Charttechnik (Trendtechnik, Durchschnitte, MACD, RSI usw.) zum Einsatz kommen, sodass versucht wird den optimalen Trend frühzeitig zu erkennen.\r\n
        Der Anlagehorizont ist grundsätzlich langfristig. Es können dennoch kurzfristige Positionsänderungen vorgenommen werden. Alles unter Berücksichtigung der Diversifikation der Anlageklassen.
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