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Ziel ist es, frühzeitig in wachstumsstarke, unterbewertete Unternehmen zu investieren, die meiner Ansicht nach vom breiten Markt noch nicht vollständig erkannt wurden.\r\n \r\n Die Haltedauer soll grundsätzlich mittel- bis langfristig ausgelegt sein. Ein Verkauf soll in der Regel erfolgen, wenn die Marktkapitalisierung deutlich über die 2-Milliarden-Euro-Grenze steigt oder sich die fundamentalen Rahmenbedingungen verschlechtern.\r\n \r\n Die Aktienauswahl soll auf einer Kombination aus fundamentaler Analyse, Geschäftsberichten und Experteneinschätzungen basieren. Entscheidende Kriterien sind u.\u{202F}a.:\r\n \r\n Attraktive Bewertungskennzahlen (z.\u{202F}B. KGV, KBV, Cashflow)\r\n \r\n Solide Bilanzstruktur und nachhaltige Profitabilität\r\n \r\n Zukunftsfähiges Geschäftsmodell mit Wachstumspotenzial\r\n \r\n Positive Analystenkommentare und Marktentwicklungen\r\n \r\n Die Diversifikation soll über verschiedene Branchen, Regionen und Geschäftsmodelle erfolgen. Dabei soll der Fokus auf Unternehmen mit einer meiner Ansicht nach überzeugenden Strategie, innovationsgetriebener Ausrichtung und einem erfahrenen Management liegen.\r\n \r\n Ziel ist es, durch eine konsequente Fokussierung auf kleinere börsennotierte Unternehmen eine überdurchschnittliche Rendite bei kalkulierbarem Risiko zu erzielen. 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