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USD\r\n • Beneish-M-Score ≤ ca. –1,78\r\n • Altman-Z-Score ≥ ca. 2,9\r\n • Nettogewinnmarge ≥ ca. 10\u{202F}%\r\n • Free Float ≥ ca. 60\u{202F}%\r\n \r\n Dies reduziert das Universum grundsätzlich auf eine deutlich geringe Anzahl an Titel. Diese sollen anhand fundamentaler Kennzahlen wie Profitabilität, Effizienz und Wachstum gerankt werden. Die Top 60 Titel sollen die Watchlist bilden.\r\n \r\n Jeder dieser Titel soll anschließend qualitativ und quantitativ geprüft werden, mit Blick auf:\r\n • Wirtschaftliche Resilienz des Geschäftsmodells\r\n • Wettbewerbsvorteile (Burggräben)\r\n • Innovationsfähigkeit\r\n • Attraktive Bewertung\r\n \r\n Das wikifolio sollte aus ca. 20 - 30 Titel bestehen. Diese werden aus der Watchlist ausgewählt. Die wikifoliokonstruktion soll grundsätzlich klaren Regeln folgen:\r\n • Gewichtung basierend auf dem Ranking\r\n • Max. ≈10\u{202F}% Gewicht pro Einzeltitel\r\n • Max. ≈35\u{202F}% Gewicht pro Sektor\r\n • Rebalancing soll in der Regel quartalsweise erfolgen\r\n \r\n Der Anlagehorizont soll kurz- bis mittelfristig ausgerichtet sein. 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