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          Vermögensaufbau und Kapitalerhalt sollen im Vordergrund stehen. \r\n
          Mit einer mathematisch aufwändigen Methode (CATE), die Wertpapiere auf Basis ihrer Fundamentaldaten und einer Kursanalyse (Curve-Fittingverfahren) beurteilt, sollen die Aktien ausgewählt werden. \r\n
          Das Portfolio soll ca 15 Aktien aus dem weltweiten Anlageuniversum mit annähernd gleichen Anteilen enthalten. Rund 5 Aktien sollen aus den tagesaktuellen Empfehlungen der CATE-Premium-Aktien ausgewählt werden, ungefähr 2 Aktien aus der Turnaround-Auswahl sowie ca. 8 Aktien aus der CATE-Perform-Selektion. \r\n
          Sollten aufgrund der Börsenlage im Rahmen der CATE-Kriterien keine Vorschläge vorhanden sein, bleibt der Betrag Cash in Reserve, bis die CATE-Kriterien wieder erfüllt sind. Meiner Erfahrung nach hat diese Methode gute Ergebnisse gebracht.\r\n
          \r\n
          Der Verkauf soll nach dem AktienAlert-Service von CATE erfolgen, der unverzüglich meldet, wenn Aktien ins Minus rutschen und dabei gewisse Verlustschwellen überschreiten, oder wenn Gewinne mitzunehmen sind. \r\n
          Die Aktien sollen durchschnittlich 3 Monate im Depot bleiben. \r\n
          """
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