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      "value" => "Ruhepolster"
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        Oberstes Ziel des Portfolios soll in der Regel der Versuch des Werterhalts sein, und dabei dennoch möglichst umsichtig an den Chancen am Aktienmarkt zu partizipieren.\r\n
        Ein möglichst geringe Volatilität in allen Marktphasen soll anvisiert werden.\r\n
        In erster Linie ist ein Investment in Aktien vorgesehen. Die Auswahl kann aber auch in Fonds, ETFs und Anlagezertifikaten erfolgen. Ausgewählte Anleihen von Firmen sowie Basisinvestments in Rohstoffe können das Portfolio in Form von ETFs genauso wie durch eine Anlage in Immobilien Fonds nach unten absichern. Es ist angedacht, einen sehr kleinen Teil des Portfolios für das Investment in risikoreiche Nebenwerte oder Turn-Around Wetten - je nach Marktsituation - bereit zu halten.\r\n
        Die Auswahl der Einzelaktien erfolgt nach persönlichem Gefallen, in Firmen und Branchen von deren langfristigen Erfolgsaussichten ich überzeugt bin auf Basis fundamentaler Analysen.\r\n
        Die Haltedauer soll -  im Idealfall -  auf mehrere Jahre ausgelegt sein. 
        """
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