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In Verbindung mit altbekannten Indikatoren, wie Fibonacci-Ratios und dem RSI, soll sich meiner Ansicht nach eine optimale Handelsstrategie ergeben, die durch ein kluges Money Management und positiven Chance-Risiko-Verhältnissen komplettiert wird. \r\n \r\n Das Hauptaugenmerk soll bei europäischen, sowie amerikanischen Aktien liegen (in der Regel Werte aus dem Dow Jones, S&P 500 und DAX).\r\n Positionen sollen überwiegend langfristig gehalten werden. Feste Stop-Loss und Take Profit Marken sollen das virtuelle Kapital möglichst vor übermäßigen Verlusten schützen und ermöglichen im besten Fall fortlaufende Renditen durch Gewinnmitnahmen. 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