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Deren Anteil soll jedoch auf höchstens 10 % begrenzt sein. \r\n Dem Portfolio soll eine Blendstrategie zu Grunde liegen. Die meiner Meinung nach besten Werte sollen Einzug ins Portfolio finden. Das Depot soll sehr stark diversifiziert werden.\r\n Ziel soll es sein, mit Top Unternehmen, reale Renditen zu erwirtschaften. Insbesondere in Zeiten, in denen die Realzinsen negativ sind, soll dem langfristigen Investor, der bereit ist Schwankungen zu ertragen, eine attraktive Alternative zu Anleihen aufgezeigt werden. Im langfristigen Durchschnitt sollen jährliche Renditen zwischen ca. 6% und ca. 10% pro Jahr angestrebt werden. Es kann Jahre geben, in denen diese Zielsetzung nicht erreicht werden kann. Es kann jedoch auch Jahre geben, in denen die Rendite sehr viel höher sein kann. Diese Strategie soll kein Sprint sondern ein Marathonlauf sein Der Anlagehorizont soll langfristig ausgerichtet sein. 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