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Entscheidend ist dabei der Wettbewerbsvorteil, welcher sich in Bilanzkennzahlen (Fundamentale/Quantitative Analyse) und Geschäftsmodell (Qualitative Analyse) widerspiegeln. Unternehmen mit entscheidendem Wettbewerbsvorteil können, meiner Meinung nach, nur sehr schwer aus dem Markt verdrängt werden und beabsichtigen in diesem wikifolio ein sicheres und moderates Wachstum. \r\n \r\n Die fundamentale Qualität soll sich hauptsächlich in folgenden Kennzahlen widerspiegeln:\r\n -Bewertungsanalyse (KUV, KGV)\r\n -Bilanzanalyse (Eigenkapitalquote, Eigenkapitalrendite, Verschuldungsgrad, Cash Quote)\r\n -Margenanalyse (Brutto- und Nettomarge)\r\n -Wachstumsanalyse (Umsatz- und EBIT Wachstum, Rule of 40, EPS Wachstum)\r\n -Piotroski F-Score\r\n \r\n Säule 2 - Growth Investments:\r\n Wachstumswerte mit Fokus auf disruptive Werte, mit Potential den Status Quo zu verändern. Werte mit disruptivem Geschäftsmodell sollen ein stärkeres Wachstum, allerdings verbunden mit höherer Volatilität, ermöglichen. Auch hier sollen Fundamentaldaten nach Säule 1, in der Entscheidungsfindung, berücksichtigt werden (Fokus auf Wachstumsanalyse). Der Value Gedanke soll somit auch gepflegt werden. \r\n \r\n Säule 3 - Rohstoffe\r\n Je nach makroökonomischer Lage können Gold und Silber (ETF/ETCs) sowie weitere Rohstoffprodukte, zu einem kleineren Anteil, beigemischt werden. \r\n \r\n In diesem wikifolio sollen überwiegend Aktien gehandelt werden, ergänzend können auch ETFs/ETCs und Fonds zum Einsatz kommen. Technische Analyse (u.a. Charttechnik, gleitende Durchschnitte) soll dabei als Hilfsmittel dienen, um einen, meiner Ansicht nach, soliden Kaufzeitpunkt zu ermöglichen. Die Haltedauer einzelner Werte soll überwiegend langfristig ausgelegt sein. Die grundsätzliche Strukturierung basiert auf meinen persönlichen Ideen, Überzeugungen und Marktansichten. 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