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          Aus einem eigens entwickelten Analysemodell sollen Aktientitel ausgewählt werden, die eine Überrendite ("Alpha")  gegenüber dem zugrunde liegenden Aktienindex erzielen sollen. Darüberhinaus soll auch ein Trendsystem für den Gesamtmarkt eingesetzt werden. Hiervon ist dann abhängig, ob das Wikifolio nicht, teilweise, oder komplett  abgesichert wird ("Overlay Management"). Die Absicherung soll mittels ETF dargestellt werden.\r\n
          \r\n
          Das Anlageuniversum umfasst sämtliche globalen Aktientitel, weiterhin können ETF, Fonds und Anlagezertifikate beigemischt werden. Es werden KEINE Hebelprodukte eingesetzt.\r\n
          \r\n
          Durch den Einsatz von ETF kann es möglich sein, in Branchen oder Regionen zu investieren, oder aber auch andere  Assetklassen (Immobilien, Renten, Rohstoffe via ETC, Währungen, Geldmarkt etc.) beizumischen.\r\n
          \r\n
          Das Investmentmodell soll auf quantitativen/mathematischen Modellen beruhen, in welche sowohl Fundamentaldaten, wie auch technische Analysen einfließen sollen . Auch ist es möglich, an Special Situations zu partizipieren, d.h. es wird auch "Event Driven" agiert, falls sich entsprechende Opportunitäten ergeben. \r\n
          \r\n
          Die Haltedauer der Aktien soll wenige Tage bis mehrere Monate betragen. Bei den ETF kann auch kurzfristiger, beispielsweise intraday agiert werden. Den Exit soll ein ausgeklügeltes Risk- und Money-Managementsystem bestimmen, welches dafür sorgen soll, dass Trends und Gewinne möglichst lange mitgenommen werden, ohne dass die Trailing-StopLoss-Technik durch gewöhnliches Marktrauschen (welches für jeden einzelnen Titel individuell auch ständig analysiert und angepasst wird) ausgelöst wird.      \r\n
          \r\n
          Das Modell soll seine Real-Time Daten aus Bloomberg beziehen.\r\n
          \r\n
          """
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