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Im Rahmen der fundamentalen Analyse sollen Aspekte der Globalanalyse einfließen, wobei ich auf Wechselkurse, Inflation, Geldmengenentwicklung, das politische Umfeld sowie den allgemeinen Konjunkturverlauf achte. Ergänzend nutze ich quantitative Unternehmensbewertungen, bei denen vor allem Gewinnentwicklung, Umsatzentwicklung und das Kurs-Gewinn-Verhältnis berücksichtigt werden soll. Im Bereich der Sentimentanalyse verwende ich Fear-and-Greed-Indikatoren.\r\n \r\n Ein zentraler Bestandteil des Ansatzes soll ein möglichst konsequentes Risikomanagement sein.\r\n Überwiegend soll der Anlagehorizont kurz- bis mittelfristig sein, da die Umschlaghäufigkeit der Positionen typischerweise innerhalb dieses Zeitraums liegt. Einzelne Positionen können nach meinem Ermessen auch langfristig gehalten werden. 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