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Die Fokussierung soll auf Werten liegen, die meiner Meinung nach werthaltig sind (Substanz) sowie Umsatz- und Gewinnpotenzial haben (Wachstum). \r\n Bei der Titelauswahl sollen quantitative und qualitative Kennzahlen berücksichtigt werden. Dies sind beispielsweise das Kurs-Gewinn-Verhältnis, das Kurs-Buchwert-Verhältnis, die Eigenkapitalquote und die Eigenkapitalrendite). \r\n Das Anlageuniversum umfasst deutsche Aktien, Aktien aus Europa, Japan, Osteuropa, US-Aktien, sonstige handelbare internationale Aktien, Discount- und Bonuszertifikate auf entsprechende Unternehmen sowie Short-ETF's auf internationale Indizes. Durch den Einsatz von Short-ETF's sollen Kursschwankungen des wikifolios reduziert werden (geringe Volatilität).\r\n \r\n Ziel soll es sein, durch aktives Management - sowohl in positiven als auch in negativen Börsenphasen - einen Kapitalzuwachs zu erzielen (AR=Absolute Return) zu können.\r\n \r\n Quellen für das Wertpapier-Research können Geschäftsberichte, Unternehmens-News und Analysten-Einschätzungen sein. Der Anlagehorizont soll überwiegend langfristig sein. Grundsätzlich soll die Haltedauer der einzelnen Titel jedoch von der Unternehmensentwicklung und den Rahmenbedingungen abhängig sein. 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