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Dies wären: Bestimmung der fundamentalen Werte (Verschuldung, Margen, Cash-flows), Betrachtung der Rück- und Gegenwinde, der Absicherung gegen Konkurrenten, des Managements etc. und mit Berücksichtigung der zukünftigen Aussichten. \r\n \r\n Positionen sollen regelmäßig neu bewertet und entsprechend angepasst werden (z.B. nach Quartalsberichten), abhängig davon, ob die ursprüngliche Investmentthese untermauert oder widerlegt wurde. Grundsätzlich soll ein Buy & Hold Ansatz verfolgt werden, nach dem Motto gute Positionen laufen zu lassen, auch wenn die Bewertung zeitweise weniger günstig ausfallen sollte, die Investmentthese aber weiterhin intakt ist. "Wässere die Blumen und jäte das Unkraut."\r\n \r\n Zusätzlich soll als Absicherung und zur Diversifikation in andere Anlageklassen investiert werden können. Dies soll mithilfe von Aktien , ETF/Fonds geschehen. Unter Umständen können auch Anlagezertifikate und Hebelprodukte genutzt werden, wenn diese eine gute Möglichkeit bieten, um das verfügbare Kapital möglichst effektiv einzusetzen. Z.B eine Hedge mit Produkte auf Staatsanleihen, bei welcher weniger Kapital bei Nutzung eines Hebels notwendig wäre, um eine ähnliche Absicherung zu der ungehebelten Variante zu erhalten. \r\n \r\n Die durchschnittliche Haltedauer soll im mittel- bis langfristigen Bereich liegen. 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