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Zeitgleich soll vor dem Investment der Buch-zu-Marktwert analyisert werden. Dieser soll Aufschluss darüber geben, ob die Aktie innerhalb des Marktindex fair bewertet ist. \r\n Diese beiden Pfeiler sollen in der Regel mit einer internationalen branchenübergreifenden Ausrichtung kombiniert werden, um eine möglichst große Diversifikation zu erreichen. Die Diversifikation soll generell des Weiteren durch diverse ETF's erweitert werden, welche Dividenden ausschütten können.\r\n Bei der Auswahl der Aktien soll die Fundamentalanalyse eine besondere Rolle einnehmen. Hierbei soll auf steigende Umsätze, sowie steigende (zumindest konstante) Dividenden geachtet werden. Wenn Dividenden im wikifolio anfallen sollen diese reinvestiert werden, um den Zinseszinseffekt bestmöglich auszunutzen.\r\n \r\n Folgende Kriterien sind maßgeblich:\r\n Dividendenkonstanz\r\n Buch-zu-Marktwert\r\n defensiver Charakter\r\n \r\n Die Neubewertung der Papiere und eine mögliche Reallokation soll jährlich stattfinden. Der Anlagehorizont soll mittel- bis langfristig sein. Die Reinvestition von im wikifolio anfallenden Dividenden soll grundsätzlich dieses Portfolio maßgeblich auszeichnen. 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