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      "value" => "Deep Bonus Werte und ETF-Werte"
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      "value" => """
        In diesem Portfolio sollen vor allem bei hoher Volatilität Bonus- und Discountzertifikate gekauft werden, deren Barriere üblicherweise bei Kauf mehr als ca. 20% entfernt sind und eine Restlaufzeit zwischen 6 und 18 Monaten aufweisen. \r\n
        \r\n
        Für Tradingzwecke können kurzlaufende Bonuszertifikate in das Portfolio aufgenommen werden.\r\n
        \r\n
        Zusätzlich sollen ETFs ein breites Spektrum an Anlageklassen abbilden und zur Diversifikation mittels Anleihen und Rohstoffen beitragen.\r\n
        \r\n
        Es ist außerdem angedacht Reverse Bonus Zertifikate zur Absicherung zu kaufen. Diese sollen einen anfänglichen Barriereabstand von üblicherweise ca. 10% oder mehr einhalten.\r\n
        \r\n
        Die Auswahl soll einzig anhand des Barriereabstands und der implizieten Volatilität erfolgen. Dadurch soll ein gutes Chance Risiko Profil erzielt werden.\r\n
        \r\n
        Aus dem Anlageuniversum sollen alle ETFs sowie Bonus- und Discountzertifikate zum Einsatz kommen.\r\n
        \r\n
        Die Haltedauer soll üblicherweise bis zum Laufzeitende sein und damit üblicherweise mittel- bis langfristig. Es kann jedoch wenn es erforderlich ist bereits früher verkauft werden.
        """
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