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Ziel soll es grundsätzlich sein, auch in wirtschaftlich anspruchsvollen Marktphasen eine reduzierte Volatilität und stabile Erträge zu erreichen.\r\n \r\n Der Investmentfokus soll in der Regel auf defensiven Branchen mit meiner Ansicht nach wiederkehrenden Umsätzen liegen. Berücksichtigt werden sollen grundsätzlich Unternehmen aus folgenden Bereichen:\r\n \r\n - Basiskonsum, Post & Telekommunikation\r\n - Infrastruktur, Versorger & Entsorgung\r\n - Versicherungs- & Finanzdienstleister\r\n - Sicherheitsbranche, Genussmittel (z.B. Alkohol, Tabak) & lizenziertes Glücksspiel\r\n - Immobilien (bevorzugt REITs) mit meiner Meinung nach geringer Verschuldung\r\n - Rohstofftitel mit Fokus auf Cashflow-Stärke\r\n \r\n Ein Schwerpunkt soll grundsätzlich auf Titeln mit attraktiver Dividendenrendite und -kontinuität liegen. Zur Selektion kann eine Kennzahl für die nachhaltige Dividende berechnet werden. Diese soll sich aus einem mehrjährigen Durchschnitt der historischen Dividenden bilden, bereinigt um die meiner Meinung nach prognostizierte Dividendensteigerung der Folgejahre und gewichtet nach der Ausschüttungsquote. Angestrebt werden soll eine Nettodividende innerhalb des wikifolios von ca. 4 bis 5 %.\r\n \r\n Zur Risikominimierung ist grundsätzlich ein striktes Equal-Weight-Modell geplant: Jede Position soll in der Regel mit ca. 2 % starten. Ein monatliches Rebalancing soll diese Gewichtung grundsätzlich wiederherstellen, um Gewinne meiner Ansicht nach systematisch zu realisieren und Kursrücksetzer antizyklisch zu nutzen.\r\n \r\n Das Anlageuniversum soll schwerpunktmäßig Europa, Kanada, Australien, Neuseeland, Japan und Brasilien umfassen. US-Titel sollen aufgrund steuerlicher Regelungen (Section 871(m)) grundsätzlich ausgeschlossen bleiben. Liquidität kann in Geldmarkt- oder Anleihen-ETFs geparkt werden. Der Anlagehorizont soll kurzfristig sein (bezogen auf die Umschlagshäufigkeit). 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