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Es wird angestrebt, durch die zielgerichtete Vermeidung von unnötigen Risiken eine Überrendite zu erzielen. Hier möchte ich dem Ratschlag von Value-Investing-Papst Benjamin Graham folgen.\r\n \r\n Die Unternehmen sollen sich durch eine besonders hohe Gewinnmarge und ein sehr konkurrenzfähiges Geschäftsmodell (breiter ökonomischer Burggraben) auszeichnen. In der Regel sollten diese Unternehmen Marktführer in ihrer Branche sein.\r\n \r\n Der Auf- und Abbau der Positionen soll sich grundsätzlich nach einem selbst ermittelten Qualitäts-Score richten. Dieser Score soll durch eine fundamentale Analyse der Unternehmenseigenschaften und Marktbedingungen bestimmt werden. Folgende Kriterien könnten z.B. einfließen:\r\n \r\n Quantitative Kriterien:\r\n - Eigenkapitalquote\r\n - Gewinnmarge\r\n - Gewinnwachstum\r\n - Enterprise Value / Gewinn\r\n - Free Cash Flow - Marge\r\n \r\n Qualitative Kriterien:\r\n - Einschätzung der Fähigkeiten des Managements\r\n - Kundenbreite: ist der Umsatz von wenigen Großkunden abhängig?\r\n - Zyklizität: wie stark sind die Unternehmensgewinne vom Konjunkturzyklus abhängig?\r\n - Burggraben: wie wettbewerbsfähig schätze ich das Unternehmen ein?\r\n \r\n Der Anlagehorizont soll grundsätzlich langfristig sein. D.h. so lange die Position den Mindestwert des Qualitäts-Scores erfüllt, ist beabsichtigt, sie im wikifolio zu halten.\r\n \r\n Um bei Überbewertung des Marktes dennoch in die besten Unternehmen investieren zu können, behalte ich mir vor, in begrenztem Umfang Short-ETFs einzusetzen, um das Rückschlagsrisiko zu reduzieren.\r\n \r\n Aufgrund der politischen und währungsbedingten Risiken sollen Schwellenländer in diesem wikifolio nur eine untergeordnete Rolle spielen. 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