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Der Ansatz soll eine stabile Sachwert-Basis mit dem starken Wachstumspotenzial des Tech-Sektors kombinieren.\r\n \r\n Beim globalen Infrastrukturumbau können Ressourcen und Spezialchemikalien als neue „Key-Assets“ fungieren. Es ist beabsichtigt, dass diese Positionen aus Bergbau und Chemie grundsätzlich als Anker dienen und einen möglichen Schutz in inflationären Phasen bieten.\r\n \r\n Auf Tech & Industry soll der Innovations-Motor ansetzen. Der Fokus soll auf Unternehmen liegen, die meiner Recherche nach als globale Marktführer gelten und die digitale Transformation aktiv mitgestalten. Durch beabsichtigte Investitionen in Software, Halbleiter und Automatisierung soll das wikifolio an potenziellen Skaleneffekten partizipieren können. Die Titelauswahl soll nach dynamischen Wachstumskennzahlen und einer starken Marktstellung erfolgen.\r\n \r\n Durch diese Kombination sollen mögliche Synergien aus Realwirtschaft und technischem Fortschritt erreicht werden. Es ist beabsichtigt, in die kritischen Ressourcen und potenzielle Marktführer von morgen zu investieren. Es wird grundsätzlich ein dynamischer und substanzstarker Ansatz angestrebt.\r\n \r\n Der Multi-Faktor-Ansatz soll qualitative und quantitative Analysen verknüpfen. Top-Down sollen Faktoren wie Konjunktur und Geopolitik gefiltert werden. Durch Bottom-Up ist beabsichtigt, fundamental starke Werte anhand von KGV, ROE und Eigenkapitalquote zu selektieren. Das Timing soll nach technischen Kriterien erfolgen. Die Portfoliogewichtung soll auf Basis des Markowitz-Modells zur Risikominimierung erfolgen.\r\n \r\n Das Anlageuniversum soll alle auf wikifolio.com verfügbaren Aktien umfassen. Der Anlagehorizont soll überwiegend mittel- bis langfristig sein. 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