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Es ist beabsichtigt, in die kritischen Ressourcen und potenzielle Marktführer von morgen zu investieren. Es wird grundsätzlich ein dynamischer und substanzstarker Ansatz angestrebt.\r\n \r\n Der Multi-Faktor-Ansatz soll qualitative und quantitative Analysen verknüpfen. Top-Down sollen Faktoren wie Konjunktur und Geopolitik gefiltert werden. Durch Bottom-Up ist beabsichtigt, fundamental starke Werte anhand von KGV, ROE und Eigenkapitalquote zu selektieren. Das Timing soll nach technischen Kriterien erfolgen. Die Portfoliogewichtung soll auf Basis des Markowitz-Modells zur Risikominimierung erfolgen.\r\n \r\n Das Anlageuniversum soll alle auf wikifolio.com verfügbaren Aktien umfassen. Der Anlagehorizont soll überwiegend mittel- bis langfristig sein. 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