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Ein zentraler Bestandteil der Strategie wird es sein, insbesondere auf Prognoseerhöhungen von Unternehmen zu reagieren und Insiderkäufe zu berücksichtigen, um fundierte Handelsentscheidungen zu treffen. Dabei sollen Kursbewegungen frühzeitig identifiziert werden, um möglichst lange vom Momentum zu profitieren.\r\n \r\n Zur optimalen Ausschöpfung der Marktchancen ist der gezielte Einsatz von Hebelprodukten vorgesehen. Abhängig von der jeweiligen Marktlage kann jedoch das gesamte Anlageuniversum – einschließlich Aktien, ETFs, Fonds und Anlagezertifikate – gehandelt oder die Cashquote auf 100 % erhöht werden.\r\n \r\n Die Entscheidungsfindung soll auf einer umfassenden Analyse sämtlicher verfügbarer Informationsquellen basieren. Dabei können sowohl technische Indikatoren, wie Moving Averages, als auch fundamentale Bewertungskennzahlen, etwa Umsatz-/Gewinnprognosen oder das Enterprise-Value/Umsatz-Verhältnis, eine entscheidende Rolle spielen.\r\n \r\n Grundsätzlich soll angestrebt werden, von bestehenden Trends so lange zu profitieren, wie diese anhalten. Dennoch sind je nach Marktentwicklung kurz- bis mittelfristige Umschichtungen möglich, weshalb der Anlagehorizont als kurzfristig eingestuft werden kann. 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