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Unternehmen, die nach meiner Einschätzung auch in mehreren Jahren noch solide und glänzend dastehen.\r\n \r\n Ausschlaggebend für die Auswahl sollen vor allem Fundamentaldaten sein: Cashflow, stabiles Umsatzwachstum, kontinuierlich steigende Gewinne, hohe Eigenkapitalquote. Auch Aspekte der technischen Analyse wie zum Beispiel RSI sollen nicht außer Acht gelassen werden.\r\n \r\n Ziel ist eine hohe Stabilität zu erzielen mit einer Mischung aus Aktien aus verschiedenen Ländern und Sektoren, außer Rüstung und Glücksspiel. Dazu soll ungefähr die Hälfte auf wachstumsstarke und grob ein Drittel auf dividendenstarke Unternehmen entfallen. Dividenden werden nur berücksichtigt, wenn diese auch im wikifolio anfallen.\r\n \r\n Als Beimischung kann zu einem kleineren Teil auch in ETN wie Bitcoin investiert werden, sowie in ETFs mit dem Ziel, einzelne Branchen und Regionen mit Wachstumspotenzial höher zu gewichten. Auch Bond- und Rohstoff-ETFs können beigemischt werden. \r\n \r\n Der Anlagehorizont enthält kurzfristige Umschichtungen. Positionen, die mich weiter überzeugen, können jedoch auch mittel- und langfristig gehalten werden. Der Anlagehorizont soll dadurch im mittel- bis langfristigen Bereich liegen.\r\n \r\n Bei besonderen Marktsituationen kann kurzfristig ein kleiner Anteil in Knockout-Produkte investiert werden. Ein kleiner Anteil Cash soll in der Regel vorgehalten werden, um schnell reagieren zu können. 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