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Vor jedem Investment sollen die Finanzkennzahlen aus den vergangenen Geschäftsberichten sowie Schätzungen zu deren zukünftiger Entwicklung mit einem selbstentwickelten Excel-Tool ausgewertet werden, um eine fundierte Entscheidungsgrundlage zu erhalten. Für die Schätzungen sollen quantitative und qualitative Kriterien berücksichtigt werden. Der Analysemechanismus beinhaltet auch eine Beurteilung des Risikos, woraus ein angemessener Abschlag zur Ermittlung der erwartbaren Rendite und die mögliche Positionsgröße des jeweiligen Einzelinvestments abgeleitet werden sollen.\r\n \r\n Das Excel-Tool kann auch beim wikifoliomanagement unterstützen. Es gibt ein Risikomanagement, das Anteilsbeschränkungen für einzelne Investments sowie für Regionen und Branchen, jeweils unter Beachtung der individuellen Risikoeinschätzung, vorsieht. Innerhalb des Rahmens aus dem Risikomanagement soll nach der bestmöglichen Rendite gestrebt werden. Je nach Möglichkeiten und Risikoeinschätzungen sollte sich ein wikifolio aus ca. 20 – 25 Einzelinvestments ergeben.\r\n \r\n Bezüglich der Aktienauswahl soll es keine regionalen oder branchenspezifischen Einschränkungen geben. Es wird stattdessen eine ausgewogene Diversifikation über verschiedene Regionen und Branchen unter Beachtung der unterschiedlichen Gelegenheiten angestrebt.\r\n \r\n Der Anlagehorizont soll im langfristigen Bereich liegen. 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