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Bei dem Kauf dieser News- und Trendgesteuerten Aktienwerte soll entweder auf positive Nachrichten einzelner Unternehmen schnell reagiert werden (Pivotal Newspoints) und/oder Trend- und Kaufsignale (z. B. Auslösung von Chartsignalen) ausgenutzt werden. \r\n \r\n Aktive Positionen sollen in der Regel konsequent in Form von Stopp- Loss- Orders abgesichert werden. Es soll ein Value-At-Risk Modell verwendet werden bei dem der maximale Verlust des Portfolios, zum ca. 95% Konfidenzniveau, auf ca. 15% begrenzt werden soll. Gewinne sollen laufen gelassen werden und Verluste permanent eingegrenzt werden. \r\n \r\n Die Strategie soll in der Regel mit Aktien umgesetzt werden. 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