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Die nicht in den Aktienanteil investierte Quote soll am Geldmarkt veranlagt werden. \r\n \r\n Durch mehrere unabhängige Indikatoren (fundamentale Kennzahlen, Psychologie, technische Indikatoren) sollen qualitative Aussagen über die erwartete Entwicklung der Aktienmärkte (Basis: Europa & USA) getroffen werden. Diese Qualitätsurteile münden monatlich in eine dynamische Umsetzung der Aktien/Cash Quote.\r\n \r\n Ein spezieller Fokus soll in der Risikoreduktion in Abschwungsphasen liegen.\r\n \r\n Um Aktien Drawdown Phasen zu minimieren, wurde zusätzlich über verschiedene Risikoindikatoren das Markt Risiko Modell welches in die FM Dynamik – Strategie einfließen soll.\r\n \r\n Weiters soll die Investition für einen EUR-Anleger ohne grosses Währungsrisiko sein. Daher soll bei der Umsetzung des globalen Aktienanteiles auf ein EUR-Hedge ETF zurückgegriffen werden. (Hinweis; der MSCI Europe Aktienanteil beinhaltet noch Währungsrsiken (z.b. CHF, GBP....)\r\n \r\n Ziel der FM Dynamik – Strategie ist es damit durch die emotionslose Analyse verschiedener Einflussfaktoren den optimalen Investitiongrad zu bestimmen. Wichtige Einflussfaktoren wurden auf die Fähigkeit hin getestet, Renditen zu erklären, um daraus erwartete Tendenzen und Handelssignale abzuleiten.\r\n \r\n Eigene Emotionen sollen ausgeblendet, die Emotionen am Markt aber angemessen berücksichtigt werden.\r\n \r\n Motto: „Gewinne laufen lassen, Verluste begrenzen“\r\n \r\n Die Benchmark für den Aktienteil ist 60 % MSCI World Index (EUR Hedged) und 40 % MSCI Europe.\r\n Die Umsetzung soll über ETF's regelmäßig jeweils um den Monatsanfang vorgenommen werden. Die Handelsidee soll mit ausgewählten ETF's umgesetzt werden. 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