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Die Strategie soll sich auf vier verschiedene Marktanomalien sowie generelle Industrietrends fokussieren.\r\n Die relevanten Marktanomalien sollen sein:\r\n - Risikoadjustierte Renditedifferenz zwischen kleinen und großen Aktien (Marktkapitalisierung)\r\n - Risikoadjustierte Renditedifferenz zwischen Value- und Growthaktien (Buch-Marktwert-Verhältnis)\r\n - Positive serielle Autokorrelation auf kurze Sicht (Momentum)\r\n - Empirische Beweise für eine flachere Security Market Line (SML) als vom Capital Asset Pricing Model vorhergesagt\r\n \r\n AUSFÜHRUNG:\r\n Um die vier Marktanomalien sowie Industrietrends bestmöglich erfassen zu können, soll das Portfolio ausgewählte Exchange Traded Funds (ETFs) über einen längeren Zeitraum halten. 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