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          Der Anlagehorizont sollte in der Regel langfristig sein, kurzfristige Käufe/Verkäufe sollen wenn überhaupt nur in Ausnahmefällen vorkommen. \r\n
          Es ist grundsätzlich beabsichtigt, dass keine Position dauerhaft größer als ca. 10% des Gesamtkapitals sein sollte, um eine zu hohe Abhängigkeit von Einzelwerten bestmöglich zu vermeiden. \r\n
          Durch Verkäufe frei werdendes Cash soll in der Regel zügig reinvestiert werden. \r\n
          Chart-Technik soll eine untergeordnete Rolle spielen, Käufe und Verkäufe sollen in der Regel nicht getimt werden.\r\n
          Für die Anlageentscheidungen soll grundsätzlich meine Fundamental-Meinung zu den Unternehmen ausschlaggebend sein. Diese soll in der Regel auf verschiedenste im Internet frei verfügbare Informationen und Analysen beruhen.
          """
      ]
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