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Explizit aus einer selektierten Auswahl der 160 Titel der DAX-Familie.\r\n \r\n Zur Findung der einzelnen Positionen, von denen erwartet wird, dass sie besser laufen als der Marktdurchschnitt, soll sich in der Regel vieler Instrumente bedient werden: Fundamentale Daten, Sentimentanalyse, Volatilität, Branchenperspektiven etc. Ferner die investigative Berichterstattung der seriösen Wirtschaftspresse – z.B. Handelsblatt, Wirtschaftswoche u.a. \r\n \r\n Der Anlagehorizont soll überwiegend kurzfristiger Natur sein. Das heisst: Das Trading soll nach einem speziell dafür entwickeltem Schlüssel überwiegend kurzfristig erfolgen. Der Kauf bei fallenden Kursen und der Verkauf bei steigenden Kursen soll der Kernpunkt des wikifolios sein. \r\n Es soll Wert darauf gelegt werden, dass die einzelnen Positionen überwiegend im Plus glattgestellt werden. \r\n \r\n Zur Risikominimierung soll eine größere Anzahl – ca. 10 bis max. 30 – von Einzel-Positionen aufgebaut werden. Eine einzelne Position soll bei Kauf etwa 10% möglichst nicht überschreiten. \r\n \r\n Ambitioniertes Ziel soll es sein, den Marktdurchschnitt zu übertreffen. 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