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Dabei soll der innere Wert (Intrinsic Value) eines Unternehmens bestimmt werden. Bei ausreichender Abweichung zum Marktpreis (Margin of Safety) sollen Aktien oder ETFs in das wikifolio aufgenommen werden. Zur Bewertung der Einzelwerte sollen unterschiedliche Bewertungsmodelle kalibriert werden (Discounted Free Cash Flow, Dividend Discount, Residual Income, Multiples). Zudem sollen ausgewählte qualitative und quantitative Kriterien entlang von 3 Dimensionen analysiert und berücksichtigt werden: "Quality" (z.B. Alleinstellungsmerkmal, Wachstumsraten FCF/EPS), "Operating Efficiency" (z.B. EBIT Margin, ROIC) und "Financial Health" (z.B. Financial Leverage, Interest Coverage Ratio). \r\n \r\n Das wikifolio soll grundsätzlich eine mittel- bis langfristige Haltedauer anstreben, jedoch kann auch kurzfristig auf Marktentwicklungen reagiert werden. 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