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Der Gewinn je Aktie soll in den vergangen 5 Jahren stetig gestiegen sein. Die Bewertung der Unternehmen soll beim Kurs zu Buchwert grundsätzlich unter einem von mir definierten Schwellwert liegen. Das Verhältnis von Kurs zu Cashflow ebenso. Eventuelle Verluste in den vergangen 25 Jahren sollen grundsätzlich in einem von mir definierten Zeitraum wieder aufgeholt worden sein. Die Dividende soll die letzten 25 Jahre nie gestrichen worden sein. Um noch stärker zu diversifizieren sollen weiterhin noch ETFs im wikifolio beigemischt werden.\r\n Die genannten Kriterien können im Jahresverlauf gerissen werden und sollen im jährlichen Rebalancing bei Bedarf korrigiert werden. Der Anlagehorizont soll in der Regel überwiegend langfristig sein.\r\n Dividenden können nur Berücksichtigt werden wenn diese im wikifolio anfallen. 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