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Das heißt es sollen immer lediglich zwischen ca. 0 bis maximal 30 unterschiedliche Unternehmen, zeitgleich im wikifolio enthalten sein.\r\n Zur Ergänzung können auch ETFs, ETCs sowie Anlagezertifikate aufgenommen werden, welche in der Regel maximal ca. 15% vom Gesamtwikifolio ausmachen sollen.\r\n \r\n Ein Kriterium für die Aufnahme soll ein aus meiner Sicht jeweils gutes Chance-Risiko-Verhältnis sein. Die Werte sollten solide Fundamentaldaten und nach meiner Einschätzung hohes Wachstumspotenzial aufweisen.\r\n Wichtig sind jedoch in diesem Zusammenhang, die Identfizierung von Marktphasen (Bullen/Bären Markt bis hin zu Krisen)\r\n \r\n Der Anlagehorizont soll überwiegend mittel bis langfristig angelegt sein. 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