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Zur Risikominimierung sollen die einzelnen Positionen nicht größer als ca. 20% des virtuellen Gesamtkapitals sein. Es soll dabei folgender Ansatz verfolgt werden:\r\n \r\n 1) Ein- und Ausstiegssignale sollen mit Hilfe von Charttechnik, technischen Indikatoren und Trendfolgemodellen ermittelt werden.\r\n 2) Das wikifolio soll je nach Marktlage maximal etwa 20 Positionen enthalten.\r\n 3) In unsicheren Marktphasen soll das Hedging des wikifolios über ausgewählte ETFs möglich sein.\r\n 4) Cash Bestände im wikifolio sollen in Geldmarktfonds investiert werden.\r\n \r\n Der Anlagehorizont soll überwiegend kurz- bis mittelfristig sein. 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