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Diese zeichnen sich in der Regel durch stabile Gewinne, eine starke Marktstellung und eine solide finanzielle Substanz aus. \r\n Zur Entscheidungsfindung soll eine Kombination aus Fundamentalanalyse und technischer Analyse helfen. Die Fundamentalanalyse soll sowohl qualitativ als auch quantitativ erfolgen: Neben klassischen Kennzahlen wie Eigenkapitalquote, Gewinnwachstum, Margen oder Cashflows sollen auch Faktoren wie Unternehmensführung, Wettbewerbsvorteile und Innovationskraft berücksichtigt werden. \r\n \r\n Der Anlagehorizont soll überwiegend langfristig sein. Ich strebe ein strukturiertes Buy-&-Hold-wikifolio an, bei dem Rücksetzer gezielt für Nachkäufe genutzt werden. Verkäufe sollen nur bei meiner Ansicht nach fundamentaler Verschlechterung oder Kursübertreibung erfolgen. \r\n \r\n Durch die gezielte Begrenzung der Einzelpositionen soll eine übermäßige Gewichtung vermieden und die Diversifikation gestärkt werden. Investiert werden kann grundsätzlich weltweit, der Fokus soll jedoch klar auf Qualität und Stabilität liegen. Ziel ist es, ein diszipliniertes, renditestarkes wikifolio aufzubauen – fernab kurzfristiger Spekulation. 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