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Der Anlagestil wird daher konservativ gehalten und Substanzwerte werden bevorzugt. \r\n \r\n Der Auswahl der einzelnen Aktienwerte soll neben der technischen Analyse eine ausführliche fundamentale Unternehmensanalyse und Branchenbewertung vorausgehen, die neben Kursentwicklung und Geschäftszahlen zusätzliche Indikatoren (Business Treiber, Technologieentwicklung, Absatzmarktanalysen, etc.) berücksichtigen.\r\n Dabei sollen Unternehmen aus stark Technologie getriebenen Märkten (IT, Telko, Biotech, Automotive etc) im Fokus stehen. \r\n \r\n Das Anlageuniversum umfasst hauptsächlich Aktienwerte aus den Indizes Dax, Dow Jones und Nasdaq. Im Zuge der risikoaversen Anlagestrategie sollen zusätzliche Werte in erster Linie der Diversifikation und dem Ausgleich regionaler Schwankungen und (Währungs-)Risiken dienen. Um dies zu erreichen sollen ebenfalls ETF's, Fonds und Anlagezertifikate verfügbar sein. \r\n \r\n Die einzigen Hebelprodukte, die verwendet werden, sind Hebel auf Indizes (max. 3x), um das Wikifolio bei Kurseinbrüchen abzusichern.\r\n In schwachen Marktphasen soll zudem versucht werden, unterbewertete Aktien mit eher kurzfristigem Anlagehorizont zu erwerben, ohne dabei hochspekulativ vorzugehen. 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