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Dieses wiederum soll sich grundsätzlich aus etwa 8 Einzelstrategien zusammensetzen. In der Regel soll jede dieser Strategien mehrere der unten genannten Anforderungen erfüllen.\r\n \r\n -\tDividendenaristokrat\r\n -\tBurgraben und Sicherheitsmarge \r\n -\thohe Eigenkapitalrenditen und Gesamtkapitalrendite\r\n -\tniedrige Schulden kontinuierliches Umsatz-und Gewinnwachstum \r\n -\tgute Gewinn und Cashflow-Margen\r\n -\thohe Eigenkapitalquote\r\n -\thohe Nettogewinnmarge (vergangene 3 Jahre)\r\n -\tStabilität der Nettogewinnmarge\r\n -\tUmsatzwachstum (vergangene 5 Jahre)\r\n -\tStabilität des Umsatzwachstums\r\n -\tDividendenwachstum (vergangene 5 Jahre)\r\n -\tDividendenrendite (vergangene 3 Jahre)\r\n -\tStabiles Umsatz- und Gewinnwachstum\r\n -\tGeringer Verschuldungsgrad\r\n -\tNiedrige Volatilität der Aktienrenditen\r\n -\tGünstige bis moderate Bewertung\r\n -\tHohe und stabile Nettogewinnmarge\r\n -\tStabiles Umsatz- und Gewinnwachstum\r\n \r\n Jeden Monat soll in der Regel die Relative Stärke nach Levy über verschiedene Zeiträume berechnet, mit einem gleitenden Durchschnitt geglättet und daraus ein Mittelwert gebildet werden. Anhand dieser Kennzahl soll eine Rangliste erstellt werden.\r\n Es sollen grundsätzlich immer die etwa 10 stärksten Werte der Rangliste gekauft werden und die schlechtesten Werte des wikifolios verkauft werden.\r\n \r\n Handelssystem:\r\n Zu Beginn eines Monats sollen in der Regel für ca. 10% des wikifolio-Wertes die Aktien verkauft werden, welche laut o.g. Rangliste auf den untersten Plätzen stehen. Das frei werdende Kapital soll dann prinzipiell zu gleichen Teilen in die ca. 10 stärksten Werte laut Rangliste investiert werden.\r\n \r\n Durch diese Herangehensweise soll folgende Börsenweisheit so gut wie möglich umgesetzt werden: Gewinne laufen lassen und die Verluste begrenzen. 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