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        Im Portfolio sollen in der Regel Aktien, ETFs, Fonds, Zertifikate und Hebelprodukte aus aller Welt gehandelt werden. Der Ansatz soll grundsätzlich von spekulativ bis hin zu konservativen Produkten reichen. Größere Drawdowns sollen durch ein konservatives Risikomanagement nach Möglichkeit verhindert werden. \r\n
        \r\n
        Die Haltedauer der Papiere soll grundsätzlich von wenigen Tagen bis zu mehreren Monaten betragen, je nachdem ob das Produkt auf fundamentaler oder technischer Basis erworben wird. \r\n
        \r\n
        Zur Entscheidungsfindung von Trades sollen in der Regel verschiedene Methoden dienen. Erstens sollen anhand fundamentaler Analysen passende Produkte identifiziert werden. Zweitens soll auf technischer Basis dann eine Optimierung beim Ein- und Ausstieg gelingen. 
        """
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