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          Das Portfolio soll aus einem Mix von Blue Chips mit ausgezeichneter Dividendenpolitik bestehen.\r\n
          \r\n
          Ein Mix aus großen Unternehmen mit starker Markenpräsenz und Marktführern in spannenden Nischen, in denen die Margen dick und die Einstiegshürden, welche die Konkurrenz fernhalten, hoch sind. Gesunde Bilanzen, starke Cash Flows und stabile bis steigende Dividenden sind meiner Meinung nach unabdingbare Auswahlkriterien!\r\n
          \r\n
          Die Beurteilung von Chancen und Risiken soll auf Basis folgender Kombination geschehen: Fundamentalen Daten, konsolidierten Analystenmeinungen, sowie historischen Informationen über die Kursentwicklung in Relation zum Gesamtmarkt.\r\n
          \r\n
          Ziel ist vor allem langfristig durch Dividenden und einem ausgewogenem Mix mit guter Marktkapitalisierung mit niederer bis mittlerer Schwankung hohe Rendite zu erzielen.\r\n
          \r\n
          Die einzelnen Titel sollen im Sinne der Absicherung/Werterhaltung grundsätzlich nicht mehr als 10% des Portfolios einnehmen.\r\n
          \r\n
          Andere Strategie?\r\n
          Zukunftsmärkte ausgewogen: https://www.wikifolio.com/de/DUFFO-DUFFOlio-Zukunftsm-rkte-ausgewogen\r\n
          Langfristiger, ausgewogener Mix: https://www.wikifolio.com/de/KONVATIV-Duffolio-langfristig-ausgewogen\r\n
          Moderne, progressive Tech-Aktien: https://www.wikifolio.com/de/TECHMOD-Duffolio-TECH-modern-progressiv\r\n
          Blue Chips: https://www.wikifolio.com/de/BLUECHI-DUFFOlio-Blue-Chips\r\n
          Biotech-Aktien: https://www.wikifolio.com/de/BIOTECHD-DUFFOlio-Biotech-Dividende
          """
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