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          Das Portfolio soll einem quantitativen Deep Value-Ansatz folgen (long-only) - mit dem Ziel die Vorteile des Mean Reversion-Effektes zu nutzen. Aus Gründen der Nachhaltigkeit soll dieser Ansatz nicht in Werte mit sehr großem Carbon Footprint investieren (absolute CO2/CO2e Emissionen gewichtet zur relativen Größe des Unternehmens).\r\n
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          In einem ersten Schritt sollen finanziell schwach aufgestellte Unternehmen aus dem Universum aussortiert werden. Es folgt ein Ranking und Filtering gemäß historisch validierter Value-Kriterien, welches das Zielportfolio definieren soll. Ein Verkauf von Portfolio-Constituents soll im Falle von finanziellen/bilanziellen Risiken der betreffenden Portfolio-Company in der Regel monatlich, im Falle von Fundamental-/Valuation-Kriterien in der Regel frühestens nach dem ersten abgeschlossenen rollierenden 12-Monatsintervall stattfinden. Es wird angestrebt, ein (Teil-)Rebalancing nach internen Gewichtungskriterien bei Bedarf, in der Regel jedoch monatlich, durchzuführen.\r\n
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          Die quantitativen Markt- und Fundamentaldaten für alle Analysen und zur Entscheidungsfindung stammen von einem kommerziellen, weltweit führenden Handels- & Bilanzdatenanbieter.\r\n
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          Das wikifolio soll auf einen überwiegend mittel- bis langfristigen Anlagehorizont ausgelegt sein. Deep Value-Ansatz generell können zeitweise - bis hin zu mehreren Jahren - hinter dem Markt zurückbleiben.
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