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          Stabilität wird meiner Ansicht nach am besten durch eine breite Risikostreuung in diverse internationale Titel aus verschiedensten Wirtschaftszweigen und Regionen erreicht. Bedeutende internationale Konzerne, möglichst mit einem breiten Burggraben, sollen stark vertreten sein. ETFs können abhängig von Marktzyklen als Beimischung gehalten werden.  \r\n
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          Grundsätzlich soll der Investmentraum möglichst frei und flexibel bleiben. Genauso wie sich auch die weltweite Wirtschaft dynamisch entwickelt.  \r\n
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          Die Entscheidungsfindung über Aktien soll Großteils auf qualitativer Unternehmensanalyse sowie auf Analyse der Geopolitik beruhen; eine langfristige Haltezeit wird angestrebt.  Die Faktoren Qualität, Value sowie Marktkapitalisierung sollen vorherrschend sein.     \r\n
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          Bond-ETFs können als Cash-Ersatz in besonders euphorischen oder unsicheren Markt-Phasen dienen. Rohstoff- Länder- und Krypto-ETFs können in geringem Maße beigemischt werden\r\n
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          Der durchschnittliche Anlagehorizont des wikifolios kann im kurz- bis mittelfristigen Bereich liegen.\r\n
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          Es werden vorzugsweise Wertpapiere mit einer guten Handelbarkeit gehalten um die Liquidationskennzahl möglichst niedrig zu halten.
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