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          Das Anlageziel ist die Erwirtschaftung monatlicher Erträge durch Ausschüttungen und Kapitalerhalt. Grundsätzlich sollen bis auf wenige Ausnahmen ausgewählte Aktien oder auch ETFs/Fonds mit einem Buy-and-Hold-Ansatz langfristig gehalten werden. \r\n
          \r\n
          Es sollen grundsätzlich nur ausschüttende und keine thesaurierenden Wertpapiere aufgenommen werden. Dividenden können nur berücksichtigt werden, wenn diese auch im wikifolio anfallen.\r\n
          \r\n
          Bei den Dividendentiteln soll unter anderem eine Mischung aus Small/Mid Caps und Blue Chips weltweit gewählt werden. \r\n
          Diese sollen nach meinen Recherchen überwiegend mehrmals im Jahr eine Dividende ausschütten, um einen monatlichen Zahlungsstrom zu generieren. Sie sollten aber mindestens einmal im Jahr ausschütten.\r\n
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          Generell achte ich darauf, dass die ausgewählten Unternehmen meiner Meinung nach im Branchenvergleich günstig bewertet sind (z.B. nach KGV, KBV, Kurs-Cashflow-Verhältnis (KCV) oder EBITDA). \r\n
          \r\n
          Aus der Kombination von Dividendenrendite und Dividendenwachstum soll sich die gesamte Wachstumsrendite ergeben. Diese soll durch gelegentliche kleinere und auch kurzfristige Trades und angestrebte Kursgewinne untermauert werden. \r\n
          \r\n
          Klumpenrisiken auf Branchenebene können in Kauf genommen und durch einen geringeren Anteil an Dividenden-ETFs und -Fonds etwas ausgeglichen werden. \r\n
          Um jedoch das Risiko einer Investition in einzelne Aktien, Fonds und Titel zu reduzieren, soll das wikifolio extra breit in eine Vielzahl von Titeln investiert und diversifiziert sein. \r\n
          \r\n
          Der Anlagehorizont des wikifolios ist überwiegend mittel- bis langfristig.
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