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  "_title" => "Path aliases"
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          In diesem wikfolio versuche ich kurz und mittelfristig von Schwankungen verschiedener Anlageklassen, sowie Einzeltitel zu profitieren. Die Vielzahl an Möglichkeiten in der heutigen Investmentlandschaft soll genutzt werden. Deshalb können Aktien, und ETFs aus allen Branchen und Standorten, sowie Fonds und ETFs auf Rohstoffe, Kryptowährungen, Immobilien oder Anlagezertifikate im wikifolio vorkommen. \r\n
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          Die grundliegende Struktur des wikifolios soll hauptsächlich durch makroökonomische Analysen hergeleitet werden. Dafür können beispielsweise die Anleihenkäufe von Zentralbanken, die Zinserwartungen, Inflationserwartungen oder fiskalpolitische Ausgaben berücksichtigt werden. Zwischen den Assets die zu der makroökonmischen Analyse passen, kann mit Hilfe von qualitativer und quantitative Analysen unterschieden werden. Dem untergeordnet können auch technische Analysen verwendet werden. Ein typisches Beispiel für die qualitative Analyse wäre eine Analyse des Produktlebenszyklus. Bei der quantitativen Analyse könnten Kennzahlen und Verfahren wie das "Discounted Cashflow Verfahren" genutzt werden. Da der Anlagehorizont jedoch kurz bis mitterlfrist orientiert sein soll, soll die technische Analyse einen großen Einfluss auf die Entscheidungsfindung haben. Deshalb kann die Nutzung von Trendformationen, wie Dreiecke, die Kopf und Schulter Formation, die Elliot-Wellen-Theorie , gleitende Durchschnitte und Indikatoren, wie der RSI oder der MACD, insbesondere mit der Kombination eines logarithmierten Chartes, gute Hinweise auf die zukünftige Entwicklung liefern.\r\n
          \r\n
          Der Anlagehorizont soll überwiegend kurz bis mittelfristig sein. 
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