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  "_title" => "Devel Load (with references)"
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          Die Handelsidee soll eine langfristige Vermögensaufbau-Strategie mit Aktien und ETFs sein.\r\n
          \r\n
          Investiert werden soll in Aktien-ETFs und Aktien Einzelwerte weltweit.\r\n
          \r\n
          Die Haltedauer der Wertpapiere soll eher langfristiger Natur sein, sie kann bei einigen Positionen aber auch mal deutlich kürzer ausfallen.\r\n
          \r\n
          Es soll durch die Auswahl der Wertpapiere grundsätzlich eine breite Streuung erzielt werden, um so das Risiko zu minimieren (Risikodiversifikation nach der Portfolio-Theorie von Markowitz). \r\n
          \r\n
          Desweiteren soll durch fundamentale und technische Indikatoren eine Marktanalyse durchgeführt werden, welche die grundsätzliche Frage nach der Investitionsquote beantworten soll. In Bullenmärkten hohe Investitionsquoten, in Bärenmärkten hohe Cash-Quoten oder Bond-ETFs, bzw. Absicherung durch Short-ETFs, allerdings kein Einsatz von Optionsscheinen. \r\n
          \r\n
          Durch das Erkennen von Markttrends soll sowohl eine Risikominimierung als auch eine Outperformance zu den weltweiten Aktienindizes erzielt werden. \r\n
          \r\n
          Im Durchschnitt zweistellige Renditen p.a. bei einem gemäßigtem Risiko sind das Ziel.\r\n
          \r\n
          """
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]