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          Es soll hier ein Tradingansatz auf liquide US-Aktien (USA 1000 mc) umgesetzt werden.\r\n
          \r\n
          Das Portfolio soll aus maximal etwa 20 - 25 Aktien bestehen, jede dieser Aktien soll ein Startgewicht von ca. 4 - 5% bekommen.\r\n
          \r\n
          Es soll in der Regel nur investiert werden, wenn folgende Kriterien erfüllt sind:\r\n
          - erfülltes Minervini-Trendtemplate\r\n
          - Neues Hoch in den letzten Handelstagen\r\n
          - sinnvolle Absicherung an einem markttechnischen Punkt 3 möglich, nach Möglichkeit etwa 15% unter dem aktuellen Kurs\r\n
          - optimalerweise eine sinnvolle "Story", warum die Aktie steigen soll (Katalysator)\r\n
          - Umsatzwachstum Quartal ggü. Vorjahr > etwa 7%\r\n
          - EPS-Wachstum Quartal ggü. Vorjahr > etwa 7%\r\n
          \r\n
          Zudem sollen weitere Kriterien berücksichtigt werden, wie etwa:\r\n
          - Trendstabilität (260 Tage), möglichst hoch\r\n
          - EPS-Wachstum TTM, möglichst hoch\r\n
          - Eigenkapitalrendite, möglichst hoch\r\n
          - PEG-Ratio TTM, möglichst nahe 1\r\n
          - Rule-of-40 TTM, möglichst hoch\r\n
          - EBITDA-Marge, möglichst hoch\r\n
          - Nettogewinnmarge, möglichst hoch\r\n
          - Performance (260 Tage), möglichst hoch\r\n
          \r\n
          Marktphasen sollen mit einer Marktampel ausgewertet werden. In Schwächephasen kann ein Short-ETF zur Absicherung bestehender Positionen eingesetzt werden.\r\n
          \r\n
          Angestrebte Entscheidungsfindung: Technische & fundamentale (sowohl qualitative als auch quantitative) Analyse\r\n
          \r\n
          Anlagehorizont: Kurzfristig. Aktien sollen im Rahmen der Idee täglich auf die Erfüllung der Kriterien geprüft werden, ggf. wird umgeschichtet.
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