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Beispielsweise sollte ein KUV jenseits von 100 mit starkem Wachstum gerechtfertigt sein bzw. FK-Quoten über 80% hinterfragt werden. \r\n \r\n Entscheidend ist auch, ob das Aktien-Unternehmen und der Sektor meiner Meinung nach in vielen Jahren besser dasteht. Die erfolgreiche Mischung wird von mir versucht anzustreben, auch im Sinne von starkem Wachstum und etwas Basis-Stabilität. Stabilität aber nicht im Sinne von Stillstand ohne Dividenden. \r\n \r\n Bei in etwa 80 Werten sollte Schluss sein, wenn die Marke überhaupt erreicht wird. Die Anzahl ist nicht wichtig für mich, aber ich möchte mich dem zeitlich widmen können. Da sehe bzw. habe ich in der Größenordnung kein Problem. Ich versuche mit fundamentaler Analyse Qualität zu bündeln.\r\n \r\n Eine Diversifikation soll etwa dem S&P 500 orientierend erfolgen. Die Unternehmen ordne ich nach dem GICS den Sektoren zu.\r\n \r\n Ein Ziel ist es den MSCI World schlagen zu wollen. Diversifikation soll das Risiko mildern und verteilen. Wobei ich bewusst gewisse Sektoren stärker gewichten möchte (nach den Aspekten Zukunft, nachhaltige Trends, Wachstum und wenn möglich Krisenfestigkeit). \r\n \r\n Ich versuche auch in zyklischen Bereichen weniger zyklische Aktien-Unternehmen zu finden oder solche, wo letztlich Geschäftsmodell/Wachstum/Value und Qualität mich überzeugen. \r\n \r\n Tendenziell habe ich mehr Vertrauen in die gewachsene US-Aktienkultur. 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