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Das Ziel des wikifolios soll daher nicht nur Wertsteigerung sein, sondern auch Werterhalt gemäß Buffetts Regel Nr. 1: "Never loose money!". \r\n \r\n Um einen kleinen Einblick in die Herangehensweise zu gewinnen:\r\n \r\n 1. Ideengenerierung\r\n \r\n Um neue Investmentideen zu generieren sollen in der Regel verschiedene Kanäle genutzt werden:\r\n - Aktienscreens (niedrige Kurs-Buch-Verhältnisse, niedrige KGVs, geringe Schulden, u.a.)\r\n - Ideen von Value Investoren aber auch von Forenusern mit nachweislich gutem Track-Record\r\n - Eigene Ideen innerhalb des "Circle of Competence"\r\n - Aktien in Sondersituationen (Übernahmen, Squeeze-Outs), da diese häufig einen "Natural Floor" haben, etwa ein Übernahmeangebot, der die Aktie von unten stützt.\r\n \r\n 2. Fundamentalanalyse\r\n \r\n In einem zweiten Schritt soll in der Regel eine detaillierte Bewertung der Investmentidee erfolgen. Erscheint die Unterbewertung eines Titels sehr groß, so qualifiziert sich dieser grundsätzlich zu einer Aufnahme in das wikifolio. Der Anlagehorizont soll üblicherweise bei mehreren Jahren liegen oder bis ein Investmentcase a) aufgegangen ist und sich die Unterbewertung aufgelöst hat oder b) der Investmentcase nicht mehr intakt erscheint.\r\n \r\n Die Bewertung der Titel soll sich sich an den Ansätzen von Warren Buffett (Owner Earnings) und Bruce Greenwald (Earnings Power Value und Reproduction Costs) orientieren.\r\n \r\n 3. Risikomanagement\r\n \r\n In einem dritten Schritt sollen aus meiner Sicht angemessene Positionsgrößen bestimmt werden um eine gute Diversifikation zu erreichen. Dabei erscheint es nicht nur wichtig, ausreichend viele Aktien im Portfolio zu haben, sondern auch viele "unterschiedliche" Aktien, die sich nicht völlig gleichartig Verhalten (z.B. bewegen sich die Dax-Aktien i.d.R. im Gleichlauf, v.a. in Phasen von Kursverlusten). Bei der Zusammenstellung der Titel im wikifolio soll daher zusätzlich berücksichtigt werden:\r\n \r\n - Die Korrelation zwischen den Aktien in unterschiedlichen Marktphasen und\r\n - Die "tails", also das Verhalten der Aktien in extremen Marktphasen\r\n \r\n Desweiteren soll aber auch das individuelle Risiko einer Aktie untersucht werden, wie z.B. die Eigenkapitalquote und Risiken des Geschäftsmodells. Sondersituationen (Übernahmen, Squeeze-Outs) sollen ebenfalls einen Pfeiler des Risikomanagements darstellen. Aktien mit "natürlichem Floor" verhalten sich in der Regel in Krisenzeiten stabiler und können bei starken Marktkorrekturen potenziell auch "der Cash" sein, um Schnäppchen einzusammeln.\r\n \r\n Gelegentlich sollen kleine Positionen von Put Optionsscheinen (seltener auch Turbos oder andere Hebelprodukte) eingegangen werden, um das wikifolio gegen Schwankungen des Gesamtmarkts möglichst abzusichern. Für ein solches Hedging sollen in der Regel Puts von Unternehmen gekauft werden, die - nach demselben Fundamentalansatz wie für Käufe - überbewertet erscheinen.\r\n \r\n 4. Verkäufe\r\n \r\n Der Grundsatz des wikifolios soll einer Buy and Hold Philosophie folgen. Das hat empirisch gut belegte Gründe. Ein hoher Turnover im Portfolio kostet Performance, weil jedes mal der Spread bezahlt werden muss. Desweiteren passieren weniger Fehlentscheidungen, wenn die Dinge ruhig angegangen werden. Wird ein Kursziel erreicht, soll die entsprechende Position verkauft bzw. umgeschichtet werden. Erscheint bei einer Aktie der Abstand zwischen Kurs und dem als fair errechneten Wert jedoch sehr klein und gleichzeitig sind Kandidaten auf der engeren Watchlist, die deutlich lukrativer erscheinen, so kann ein Verkauf/eine Umschichtung auch früher geschehen. 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