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          Value:\r\n
          Die Handelsidee soll grundsätzlich darauf abzielen, die meiner Ansicht nach fundmental & technisch besten Dividenden Aristokraten (Unternehmen die meiner Analyse nach circa 25 Jahre oder mehr Dividenden erhöht, gezahlt und nicht gesenkt haben ins wikifolio aufzunehmen). Dabei sollen Unternehmen primär nach technischer Analyse bewertet werden, dabei lasse ich in der Regel Indikatoren wie dem Relative Stärke Index (RSI), Bollinger Bänder, Trendkanäle, Gleitende Durchschnitte wie zzb. Dem EMA 20/50/100&200 in meine Entscheidung einfließen. Außerdem sollen grundsätzlich alle Unternehmen mit Hilfe der Fundamentalen Kennzahlen, nach Kriterien wie zzb. der Eigenkapitalrendite,Eigenkapitalquote,KGV,KBV & PEG, analysiert werden.\r\n
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          Growth:\r\n
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          Der zweite Fokus soll grundsätzlich auf Growth–Titeln liegen. \r\n
          Diese Unternehmen sind meines Erachtens stark abhängig von Konsum, Konjunktur & können so in einem steigendem Markt oftmals äußerst profitabel sein. Ich Ziele bei diesen Unternehmen darauf ab sie, in nach meiner Ansicht nach schwachen Phasen, zu kaufen und in steigenden Phasen von der Stärke dieser Aktien zu profitieren. In der Regel sollen aus meiner Sicht starke Marken aus der „Technologie–Branche“ ins wikifolio aufgenommen werden.\r\n
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          Der Schwerpunkt soll hierbei grundsätzlich auf einem meines Erachtens  guten Risiko & Moneymanagement liegen.\r\n
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          Das Ziel:\r\n
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          Das Ziel soll es sein, die Index Benchmarks aus Europa und USA outzuperformen d.h eine bessere Jahresrendite zu erwirtschaften. \r\n
          \r\n
          Neben Aktien, können zur Abrundung bzw. zur weiteren Diversifizierung, auch ETFs gehandelt werden.\r\n
          \r\n
          Der Anlagehorizont soll in der Regel mittel- bis langfristig sein.
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