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Diese Erkenntnisse sollen grundsätzlich in dieses wikifolio einfließen.\r\n \r\n Prinzipiell soll in dem wikifolio das komplette verfügbare Anlageuniversum ausgeschöpft werden, angefangen von Aktien, über Fonds bis hin zu Hebelprodukten.\r\n \r\n Der Ansatz soll dabei in der Regel aus folgenden Eckpfeilern bestehen:\r\n \r\n 1. Das wikifolio soll sich in der Regel etwa zu max. 50% aus Aktien zusammensetzen. Hebelprodukte sollen ebenfalls in etwa 50% des wikifolios ausmachen. Es kann aber auch vorkommen, dass aufgrund von Nachkäufen diese Quote überschritten wird.\r\n 2. Es wird grundsätzlich angestrebt mind. ca. 10% Cash im wikifolio zu halten, tendenziell jedoch zwischen 20-30%.\r\n 3. Der initiale Trade für ein Wertpapier soll bei Aktien etwa 8% des wikifoliowertes nicht übersteigen.\r\n 4. Der initiale Trade für ein Wertpapier von Hebelprodukten soll etwa 5% nicht überschreiten.\r\n 5. Es sollen in der Regel nur Hebelprodukte mit einem max. Faktor von 10 ins wikifolio aufgenommen werden. Dieser kann bei Derivaten mit variablem Hebel den Faktor 10 jedoch überschreiten.\r\n 6. Die Auswahl der Hebelprodukte soll sich weitestgehend an den COT Daten orientieren.\r\n 7. Die Auswahl von Aktien soll sich weitestgehend an qualitativ hochwertigen Werten orientieren (z.B. Eigenkapitalquote, KGV, Verschuldungsgrad etc.)\r\n 8. Der Anlagehorizont soll überwiegend kurzfristig bis mittelfristig sein, wobei Aktien tendenziell längere Haltedauern vorweisen können als Derivate.\r\n 9. Sofern die Wertpapiere fallen, soll unter Anbetracht des Chance/Risiko Verhältnisses immer wieder nachgekauft werden. Allerdings behalte ich mir vor, Anlageprodukte auch mit Verlust abzugeben. 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