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Das können zum Beispiel Immobilien-, Renten-, Geldmarkt-, Rohstoff-, Aktien- und Bondswerte sein oder auch Aktien-Beteiligungsgesellschaften mit mehreren Beteiligungen an Unternehmen. Einzelkursrisken sollen somit nach Möglichkeit verringert werden. \r\n Die Handelsentscheidungen sollen vorwiegend aufgrund technischer Chart Analyse erfolgen. \r\n Ein von mir subjektiv identifizierter vorherrschender Trend soll vorwiegend bis zu einer möglichen Trendumkehr genutzt werden. \r\n Die Streuung in unterschiedliche Anlageklassen/Märkten soll einen starken DrawDown des Investments reduzieren, der jedoch grundsätzlich nicht ausgeschlossen werden kann.\r\n Ein positiver schwankungsarmer Mehrertrag oberhalb der Inflationsrate ist in der Regel angestrebt, kann aber nicht garantiert werden. \r\n Der Anlagehorizont soll überwiegend langfristig sein. 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