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Wer über solch einen langen Zeitraum jedes Jahr die Dividende erhöhen kann, hat in der Regel bewiesen, dass das eigene Geschäft wohl auf einem soliden Fundament beruht. Eine weitere wichtige Kennzahl bei der Auswahl der Titel soll die Ausschüttungsquote auf den Free Cashflow sein. Diese Kennzahl sollte im Regelfall nicht zu hoch sein, um die Liquidität des Unternehmens nicht zu gefährden oder gar die Dividende auf Kosten der Unternehmenssubstanz finanzieren zu müssen.\r\n \r\n Im Portfolio sollen sich hauptsächlich Aktien befinden. Eine Verteilung über möglichst viele Branchen wird angestrebt. Eine räumliche Beschränkung ist nicht vorgesehen, allerdings stammen die meisten Aristokraten traditionell aus den USA (--> Schwerpunkt). Der Anlagehorizont solle grundsätzlich mittel- bis langfristig angelegt sein, um so auch die steigende Dividendenrendite - bezogen auf den Einstandkurs - auszunutzen.\r\n \r\n Die Aktienauswahl wird voraussichtlich einmal jährlich überprüft (Status "Aristokrat" noch gegeben? Höhe der Ausschüttungsquote?) und ggf. angepasst.\r\n \r\n Hinweis: Dividenden werden nur berücksichtigt, wenn sie im wikifolio anfallen. 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