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      "value" => "Chart-/Markttechnik, LONG+SHORT"
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      "value" => """
        Das Ziel soll sein, an steigenden  als auch fallenden und stagnierenden Märkten profitieren zu können.\r\n
        \r\n
        Das Handeln soll möglichst diversifiziert mit verschiedenen Anlagezertifikaten, Fonds und Aktien (auch außerhalb Europas) erfolgen, es können auch Indizes, Rohstoffe und Währungen indirekt mittels Hebelprodukten wie Knock-Out-Produkte und Optionsscheine gehandelt werden, außerdem können auch ETFs/ETCs eine Möglichkeit sein. \r\n
        \r\n
        Es soll ein aus meiner Sicht angemessenes Chance/Risikoverhältnis bei jder Position angestrebt werden und jeweils nur ein möglichst nicht zu großer Kapitalanteil eingesetzt werden.\r\n
        \r\n
        Die beabsichtigte Haltedauer kann von Intraday bis langfristig (Monate/Jahre) reichen.\r\n
        Als längerfristige Anlagen können  z.B. meines Erachtens starke und devensive Aktien in Frage kommen,  außerdem u.A. Discount- /Bonus- und Memory-Express-Zertifikate.\r\n
        \r\n
        Die Investitionen sollen dem Marktumfeld angepasst und zudem nach charttechnischer und fundamentaler Analyse erfolgen.\r\n
        """
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