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Positionen mit unterdurchschnittlicher Entwicklung sollen regelmäßig aufgelöst werden zugunsten von Werten, bei welchen neue Kaufsignale generiert werden, ganz nach dem Motto: "Gewinne laufen lassen, Verluste begrenzen". Eine angestrebte Haltedauer der einzelnen Werte kann so nicht vorhergesagt werden - eine kurz- bzw. mittel- bis langfristige Haltedauer ist möglich. Bei Werten charttechnisch negativ zu bewertender Indizes (z. B. 200-Tage-Linie fallend) sollen allenfalls bestehende Positionen abgebaut und keine neuen Investitionen getätigt werden, der Cash-Anteil kann in solchen Phasen bis zu 100% betragen. Auch so ist es geplant, Verluste grundsätzlich zu begrenzen. Abgerundet werden soll die Performance durch kurzfristige Investitionen in Hebelprodukte (Optionsscheine), welche im Regelfall einen Anteil von ungefähr 10% des Gesamtvermögens nicht überschreiten sollen.\r\n Anlageuniversum: Es soll in ausgewählte Aktien sowie Optionsscheine investiert werden. 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