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Die angestrebte Zielrendite inkl. der Dividenden soll bei 7 - 8 % p.a. liegen, wenn es gut läuft, darf es auch gerne mehr sein. \r\n \r\n Der Anlagehorizont sollte drei Jahre oder mehr betragen, da auch diese Aktien Schwankungen unterworfen sind. Positiv auf die Unternehmen sollte sich die mittelfristig in der EU und den USA zu erwartende Inflation sowie die alternden Gesellschaften in der westlichen Welt auswirken. Konsumgüter und Medizinprodukte sollen deshalb einen hohen Anteil haben.\r\n \r\n Die Unternehmen sollen überwiegend aus den USA und der EU stammen. Unternehmen aus Asien können bei Bedarf zusätzlich erworben werden.\r\n \r\n Für die Bewertung der Unternehmen sollen u.a. die fundamentalen Daten (z.B: KGV und Dividendenrendite) herangezogen werden. Auch die Dividendenhistorie soll unter dem Aspekt der Nachhaltigkeit berücksichtigt werden (sog."Dividendenaristokraten" sollen einen hohen Anteil ausmachen). Unternehmen mit einer schlechten Dividendenhistorie sollen nur zu einem kleinen Teil erworben werden, wenn eine Besserung der Dividende für die Zukunft zu erwarten ist.\r\n \r\n Zu einem Teil kann auch in kleinere, dividendenstarke Unternehmen investiert werden. Auch hier soll ein längerer Zeithorizont zugrunde gelegt werden. 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