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Anlageuniversum\r\n In das Portfolio sollen sowohl Aktien als auch Finanzderivate und ETFs aufgenommen werden. Die Zusammensetzung soll sich dabei wie folgt gestalten:\r\n Aktien sollen in dem Portfolio mit bis zu 100 % gewichtet werden. \r\n Das Portfolio soll ferner bis zu ungefähr 30 % Anlagezertifikate Hebelprodukte enthalten. Im Wesentlichen soll es sich hierbei um Derivate auf Einzelaktien aus dem Bereich Medizin und Technologie handeln. \r\n Schließlich soll das wikifolio auch ETFs und ETCs mit einer Gewichtung von bis zu etwa 20 % enthalten. \r\n \r\n III. Anlageidee\r\n Bei Kaufentscheidungen soll das Hauptaugenmerk auf Unternehmen mit - aus persönlicher Sicht - vielversprechenden Geschäftsmodellen sowie interessanten Forschungsansätzen und -ergebnissen im Bereich Technologie und Medizin liegen. Ferner sollen auch Investitionen in Aktien von Unternehmen mit exponierter Marktstellung erfolgen. Fundamentale Kennzahlen, insbesondere das Kurs-Gewinn-Verhältnis (KGV), das Kurs-Buchwert-Verhältnis (KBV) sowie das Kurs-Umsatz-Verhältnis (KUV) können ebenfalls in die Entscheidungsfindung einfließen, wobei diese mit Blick auf die Anlageidee, der Investition in Zukunftstechnologien, durchaus nachrangig sein können.\r\n \r\n Soweit Wertpapiere in das Portfolio aufgenommen werden, deren Basiswert ein Index ist soll insbesondere die persönliche Einschätzung der allgemeinen Wirtschaftslage auf Basis aktueller Indikatoren wie Arbeitsmarktdaten und Stimmungsindikatoren berücksichtigt werden und die Grundlage eine Kaufentscheidung bilden. \r\n \r\n Die Haltedauer der einzelnen Positionen im Portfolio soll überwiegend langfristig sein, kann allerdings betreffend einzelne Positionen variieren. Es ist beabsichtigt vereinzelt auch intraday zu handeln. 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