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Die vertikale Diversifikation und aktives Risikomanagement sollen hierbei eine zentrale Rolle einnehmen. Das Ziel ist es, eine Out-Performance des Gesamtmarkts zu erzielen.\r\n \r\n Das Anlageuniversum soll grundsätzlich offen gehalten werden, und ein Schwerpunkt auf Aktien aus dem Hightech- und Nebenwerte-Bereich soll die wikifolio-Performance dynamisieren. Das Investitionsspektrum soll des Weiteren marktbreite ETFs sowie ETPs auf Kryptowährungen umfassen. Der Einsatz von Hebelprodukten ist insbesondere zur wikifolio-Absicherung in schwierigen Marktphasen geplant. Als durchschnittlicher Anlagehorizont wird ein kurz- bis mittelfristiger Bereich angestrebt.\r\n \r\n Ein selbsterstelltes Scoring-Modell soll als zentrales Element für die Bewertung des Wachstumspotenzials von Aktien zum Einsatz kommen und sowohl quantitative Aspekte der Fundamentalanalyse (Fokus auf Umsatzwachstum, PEG, FCF/Cash Flow-Wachstum) als auch qualitative Aspekte der Unternehmens- und Branchenanalyse (Bewertung des Managements, USP, Geschäftsmodell, Wettbewerbssituation, Marktanteil) berücksichtigen. Des Weiteren ist es beabsichtigt, charttechnische Analysen (z.B. Trendfolgemodelle, Relative Strength Index etc.) und makroökonomische Informationen (Global- und Regionalanalysen) zur Entscheidungsfindung zu nutzen. 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