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Außerdem soll das Portfolio durch ein mathematisches Verfahren stark diversifiziert werden, um Kursschwankungen möglichst gering zu halten.\r\n \r\n Das Anlageuniversum soll durch die Verwendung von Kriterien verschiedener ökologisch-sozial ausgerichteter Fonds eingegrenzt werden. Um die Nachhaltigkeit des Musterdepots transparent zu gestalten, sind ausschließlich Investitionen in Aktien geplant. \r\n \r\n Die genaue Zusammenstellung des wikifolios soll an die Portfoliotheorie des Wirtschaftsnobelpreisträgers Harry M. Markowitz angelehnt sein. Dieses Modell kann mit einem Monte-Carlo-Ansatz zur Simulation zahlreicher Zukunftsszenarien erweitert werden. Bei der Portfoliooptimierung können dann neben der varianzbasierten auch andere Risikoapproximationen verwendet werden, u.A. der VaR (Value at Risk) oder der cVaR (conditional Value at Risk/Expected Shortfall). Weiterhin ist es möglich, die Verteilung der Monte-Carlo-Simulationen mit Hilfe von künstlicher Intelligenz flexibler und genauer an die Realität anzupassen.\r\n \r\n Der Anlagehorizont dieses wikifolios soll grundsätzlich mittel- bis langfristig sein. Entsprechend dem Modell sind Anpassungen im Abstand von etwa 3 Monaten geplant. 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