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Für die Aktien sollen eigene und externe Analysen als Quelle der Entscheidungsfindung dienen. Hinzu soll über ETFs in Aktien aus bestimmten Branchen und Regionen investiert werden.\r\n Anschließend sollen Titel mit sehr guter Performance verkauft und Titel mit stark negativer Performance vorsichtig nachgekauft werden. Sollten nachgekaufte Titel wiederum deutlich fallen, wird weiter nachgekauft, aber nie mehr als die doppelte Stückzahl. \r\n Ich werde mich nicht festlegen, was eine gute oder schlechte Performance ist.\r\n Bei einem globalen Verkaufsdruck auf den Märkten, sollen Titel gehalten und teils verkauft werden, wobei selbst in diesem Szenario nicht alle Aktien gleichmäßig unter Druck geraten und sich Chancen ergeben könnten.\r\n Die Haltedauer soll kurz- bis langfristig sein. 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