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      "value" => "Langfrist-Investment"
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      "value" => """
        Investment in Aktien und in andere Instrumente. Die Strategie soll mit Aktien, ETFs, Zertifikaten und/oder Fonds umgesetzt werden. Die Auswahl der einzelnen Aktien soll einem Prozess folgen, welcher Aktien bevorzugt, die der großen Mehrheit bekannt sein sollten.\r\n
        \r\n
        Um Verluste einzugrenzen kann für jedes einzelne Instrument ein Stop-Limit gesetzt werden. Zusätzlich können auch Zertifikate erworben werden, um einen etwaigen Indexverlust oder Währungsverlust zu mindern (Beispiele: Eingehen von SHORT-DAX oder SHORT USD_LONG EURO möglich).\r\n
        \r\n
        Anlagehorizont soll pro Aktie oder Instrument im positiven Fall für 1 - 3 Jahre geplant sein. Vorzeitiger Verkauf kann jedoch möglich sein, sofern die Aktie oder das Instrument mehr als 25% im Verlustbereich liegt.\r\n
        \r\n
        Als Informationsquellen werden Fachliteratur und diverse Internetseiten genutzt.\r\n
        \r\n
        Eine flexible Investitionsquote soll eine zeitnahe Reaktion auf Eventrisiken ermöglichen:\r\n
        \r\n
        -) So kann die Cashquote zwischen 1% und 75% liegen - sollte nicht darüber sein! => Behavioral-Finance angelehntes Risikomanagementsystem.\r\n
        \r\n
        -) vorgesehen ist tägliches Risiko-Monitoring => post-Lehman musste der Risikoapproach im gesamten Finanzbereich neu überdacht werden und somit sollte dieses Portfolio auch auf Black Swans vorbereitet sein! => Durch Aktives Risikomanagement auf Basis der zeitnahen Reduzierung / Steuerung der Investitionsquote.
        """
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