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          \r\n
          Das ganze soll in der Regel aus einer Kombination von sogenannten  Blue-Chips (Aktien) und ETFs erreicht werden.  In der Regel soll hierbei der Ansatz des Buy& Hold verfolgt werden, dahingehend ist eine überwiegend langfristige Haltedauer für einzelne Werte geplant.\r\n
          Hier können noch einige spekulativere Titel hinzu kommen. Dabei soll es sich in der Regel um kleinere Positionen handeln. \r\n
          \r\n
          Um flexibel auf Kursschwankungen reagieren zu können, plane ich auch Cashreserven zu halten.\r\n
          \r\n
          Zur Entscheidungsfindung soll überwiegend die Fundamentalanalyse (u.a Branchen- & qualitative Unternehmensanalyse) genutzt werden. Die Daten von aus meiner Sicht interessanten Unternehmen sollen geprüft und ein möglicher "fairer Wert" ermittelt werden. Zusätzlich sollen auch Informationen aus Nachrichten und einschlägigen Finanzblogs genutzt werden. In der Regel soll auch die technische Analyse in Form der Chartanalyse und/oder Indikatoren wie den Bollinger Bändern eingesetzt werden.\r\n
          Eine Prise Bauchgefühl schadet meines Erachtens hierbei auch nicht.
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]