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Investition in Bankinstitute und Versicherer, die in vielen Fällen gute Dividendenzahler sind\r\n 2.) Investition in innovative FinTech Unternehmen die Wachstums-Chancen bieten können\r\n 3.) Investitionen über ETFs oder ETPs in Wertspeicher wie Gold, Silber und Bitcoin\r\n 4.) Investition in Dezentrale Finanzsysteme (DeFi), z.B. durch Wertpapiere die den Wert von Ethereum oder anderen Smart-Contract fähigen Kryptowährungen tracken\r\n \r\n Die Entscheidungsfindung für die Auswahl der Positionen soll vor allem auf Methoden der fundamentalen Analyse basieren:\r\n Dabei sollen vor allem die unternehmensspezifischen Kennzahlen im Vordergrund stehen (z.B: Umsatzentwicklung, Margenentwicklung, Verschuldungsgrade).\r\n Übergeordnet sollen Methoden der Globalanalyse angewendet werden, um Einflüsse aus Konjunkturentwicklung, Zinsentwicklung sowie Inflation zu beachten, die für alle im Finanzsektor aktiven Unternehmen eine zentrale Rolle bei ihrer Bewertung spielen können.\r\n In der qualitativen Unternehmensanalyse sollen für dieses wikifolio vor allem Product-Market Fit und Management Qualität beleuchtet werden.\r\n Ergänzend dazu ist geplant Sentimentanalyse, News-Trading sowie Methoden der Technischen Analyse (Chartanalyse, Trendlinien) zu nutzen, um passende Kauf- und Verkaufszeitpunkte für die entsprechenden Positionen zu suchen.\r\n \r\n Der Anlagehorizont soll in der Regel überwiegend langfristig sein. 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