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Hierbei möchte ich mich in der Regel auf Werte fokussieren, welche meiner Analyse nach seit mehreren Jahren bestehende Aufwärtstrends besitzen.\r\n \r\n Nach meiner Ansicht zeichnet sich ein Aufwärtstrend durch einen stabilen Wertzuwachs über einen langfristigen Zeitraum von ungefähr 3 Jahren aus, welcher das Wachstum von Leitindizes wie S&P 500 überschreitet. Dementsprechend soll der Anlagehorizont überwiegend mittel- bis langfristig sein.\r\n Es soll in verschiedene Branchen wie z.B. Technologie oder Gesundheit aus verschiedenen Regionen der Welt, etwa USA und Asien investiert werden, um möglichst eine ideale Diversifikation zu erreichen. Dabei soll darauf geachtet werden, dass kein Wert mehr als ungefähr 10% des wikifolios ausmacht. Eine Gleichgewichtung der Werte wird grundsätzlich angestrebt, Abweichung oder höhere Gewichtungen bei diversen Einzelwerten können allerdings möglich sein. Durch verschiedene Analysemethoden, wie Charttechnik oder Fundamentalanalyse, hier insbesondere GuV soll auf Änderungen in den Trends und Trendbrüche angemessen reagiert und gegebenenfalls Werte ausgetauscht werden. Ebenso soll durch aufmerksames Beobachten von Branchen- und Unternehmensnachrichten versucht werden, potentielle Einflussfaktoren auf den Kursverlauf zu identifizieren, um darauf reagieren zu können. 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