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Dabei sollen Unternehmen mit einem meiner Ansicht nach überzeugenden Geschäftsmodell bevorzugt werden, die über eine vergleichsweise hohe Dividendenrendite bei gleichzeitiger hoher Dividendensteigerungsrate und mindestens eine stabile Kursentwicklung verfügen. \r\n \r\n Anlageuniversum \r\n Die Anlage soll weitestgehend in Form von Aktien erfolgen. ETFs (inkl. Rohstoff-ETCs und Anleihe-ETFs sowie Faktor-ETFs) sollen für Absicherungszwecke beigemischt werden können. \r\n \r\n Anlagestil \r\n Der Anlagehorizont soll langfristig sein. Vereinnahmte Erträge und gelegentliche Veräußerungserlöse sollen wieder angelegt werden, sodass eine im Zeitverlauf möglichst geringe Cashquote angestrebt wird.\r\n \r\n Quellen & Entscheidungsfindung \r\n Die Wertpapierauswahl soll auf laufender Lektüre von Tageszeitungen, Finanzzeitschriften sowie spezialisierter Finanzblogs basieren. Die Entscheidungsfindung soll qualitative und quantitative Kriterien eines Wertpapiers berücksichtigen.\r\n \r\n Wertpapierauswahl \r\n Aus qualitativer Sicht soll das wettbewerbsfähige Geschäftsmodell des Unternehmens ausschlaggebend sein. Quantitativ soll sich die Auswahl aus der Berücksichtigung der Bewertung, der Dividendenhöhe, der Dividendenwachstumsrate sowie von Prognosen der Unternehmenszahlen ergeben.\r\n \r\n Dividenden werden nur berücksichtigt, wenn diese auch im wikifolio anfallen. 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