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      "value" => """
        Dieses Portfolio soll einen langfristigen Vermögensaufbau bringen. Hierzu wird die komplette Palette von Lang&Schwarz wie Aktien, Anleihen, Fonds, ETF´s, Hebelzertifikate auf steigende und fallende Märkte, Rohstoffe, Währungen usw. eingesetzt. Größere Schwankungen müssen dabei in Kauf genommen werden. Die Zielrendite liegt bei 30% p.a.\r\n
        \r\n
        Das Portfolio dient als Beimischung zu herkömmlichen Geldanlagen um damit die persönliche Gesamtrendite anzuheben. Die Größenordnung der Beimischung sollte sich den persönlichen Anlagezielen anpassen. Ein Totalverlust sollte den Investor nicht in finanzielle Schwierigkeiten bringen. \r\n
        Der Mindest-Anlagehorizont liegt bei 3-5 Jahren.\r\n
        \r\n
        Die Haltedauer der Wertpapiere kann von wenigen Minuten bis mehreren Monaten andauern. Dabei soll schnell auf sich veränderte Märkte reagiert werden.\r\n
        \r\n
        Informationen, die zur Anlageentscheidung führen, stammen aus diversen Börsenbriefen und Newslettern von Fondsgesellschaften, Fachzeitschriften, Investmentkongressen und dem Internet.
        """
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