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           regelmäßiger Dividendenerträge, einen Teil des Kapitals aktiv zu managen. In der Regel \r\n
          sollen ungefähr 70 Prozent des Kapitals in ausgewählte Aktien aus dem Euroraum investiert\r\n
           sein, die zum Zeitpunkt des Erwerbs eine überdurchschnittliche Dividendenrendite aufweisen \r\n
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          Streuung des Kapitals. Um Wechselkursrisiken auszuschließen sollen sich die \r\n
          Anlagen auf Euro beschränken. Die Dividenden sollen regelmäßig wieder in das ausschüttende Unternehmen re-investiert werden. Circa 30 Prozent des Kapitals beabsichtige ich aktiv zu handeln oder als Instrument zur Kursabsicherung zu nutzen. Diesen Anteil sollen daher in entsprechende Aktien aus dem Euroraum, ETF´s Deutschland, ETF´s DAX oder ETF´s EuroStoxx investiert werden. Der überwiegende Teil des Kapitals soll langfristig investiert sein. Die einzelnen Positionen sollen jedoch regelmäßig überwacht und ggfs. auch Umschichtungen vorgenommen werden. Bei der Auswahl der Werte soll ein nach meiner Einschätzung ausgewogenes Chance-Risiko-Verhältnis bestehen.  
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