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Es sollen überwiegend Aktien gewählt werden, die ich persönlich langfristig für relevant halte. In der Regel erhoffe ich von den selektierten Aktien, dass sie entweder langfristig wachsen und/oder durch eine möglichst gefestigte Marktposition eher resistent gegen Krisen sind. Ergänzend können kleine Anteile von Dividenden-Aktien, Trend-Aktien und Turnaround-Aktien hinzugefügt werden. Hierdurch beabsichtige ich die Performance zu erhöhen und durch Diversifikation und Dividendenzahlungen Gesamtverluste zu verringern. Dividenden können hierbei nur berücksichtigt werden, wenn diese im wikifolio anfallen.\r\n Meine persönliche Entscheidungsfindung zur Wahl der Titel soll anhand möglichst vieler verfügbaren Quellen erfolgen und sollte vor allem auf meinen Analysen fundamentaler und technischer Daten (u.a. qualitative und quantitative Daten sowie Charts und gleitende Durchschnitte), Trendanalysen sowie Industrie und-Branchen Forecasts gemäß Fachmedien und eigener Prognosen basieren. \r\n Es wird beabsichtigt den Anteil der einzelnen Werte anhand einer manuellen Bewertung prozentuell zu verteilen und die Verteilung in unregelmäßigen Abständen gemäß der Bewertung neu anzupassen. \r\n Um in volatilen Zeit auf Chancen flexibel reagieren zu können, ist das Musterdepot für sehr viele Instrumente des Anlage Universum, inklusive Aktien, ETF, Fonds, Anlagezertifikate und Hebelprodukte offen. Durch ETF oder Fonds könnten beispielsweise einzelne Branchen oder Länder über gewichtet werden. Durch Zertifikate könnte beispielsweise in Phasen seitlich laufender Märkte Profite zu erzielen. Hebelprodukte sollten nur dann eingesetzt werden, wenn ich mir sehr sicher bin, dass sich die Basiswerte in eine Richtung entwickeln, um überproportional an der Entwicklung der Basiswerte zu partizipieren. \r\n Der Anlagehorizont dieses wikifolios soll überwiegend langfristig sein. 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