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          Das "Stockpicker" wikifolio soll prinzipiell weltweit, in meiner Meinung nach, langfristig aussichtsreiche Wachstumsunternehmen investieren.\r\n
          \r\n
          Investiert werden soll sowohl in meiner Ansicht nach unterbewertete Substanzwerte aus allen Branchen als auch in spekulative Nebenwerte, die möglicherweise das Potenzial haben, ihre Märkte mit disruptiven Technologieentwicklungen zu verändern. Bei diesen Unternehmen handelt es sich oftmals um schnell wachsende Unternehmen, die wahrscheinlich noch nicht profitabel sind. Somit können übliche fundamentale Analysen unzureichende Aussagen über diese Unternehmen treffen. Neben dem Fokus auf den "fairen Wert" eines Unternehmens, sollen hier weitere "softe" Kriterien für die zukünftige Bewertung herangezogen werden. Dieser Ansatz von Peter Lynch zur Fokussierung auf den inneren Wert, soll um Bewertungskriterien des angestrebten zukünftigen operativen Gewinnwachstums und der Interpretation des PEG (Kurs-Gewinn-Wachstum-Verhältnis) erweitert werden. Meiner Meinung nach vernünftig bewertete Wachstumsaktien kommen für das wikifolio genauso in Frage wie "Fallen Angels", die nach starken Kursverlusten vor einer Kurserholung stehen.\r\n
          \r\n
          Ziel dieser Methode soll es sein, Aktien aus den Märkten herauszufiltern, welche einem in ihrem Umfeld überdurchschnittlichen Wachstum unterliegen. Hierbei kann es durch die zugrundeliegende Gesamtmarktsituation zu stärkeren Kursschwankungen der einzelnen Werte kommen. Ich werde versuchen diese Über- und Untertreibungen am Markt auszunutzen und das wikifolio konsequent mit meiner Ansicht nach starken Wachstumsaktien und Dividendentiteln zu füllen. (Dividenden werden nur berücksichtigt, wenn diese auch im wikifolio anfallen)\r\n
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          Die Charttechnik soll meist nur beim Timing des Ein- und Ausstiegs eine Rolle bei meinen Anlageentscheidungen spielen. Ziel ist es, das wikifolio mit einem Anlagehorizont für die einzelnen Positionen von ca. 9 - 20 Monaten aufzubauen, also eher mittel- bis langfristig. Zusätzlich können einzelne Branchen über ETFs abgedeckt werden. Dabei soll in der Regel eine Cashquote von ca. 15 % nicht unterschritten werden, um immer agil auf die Marktschwankungen reagieren zu können.
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