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  "_title" => "Path aliases"
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          Die Strategie "VV-Ausgewogen" ist auf nachhaltigen Vermögenserhalt - losgelöst von jeglicher Benchmark - ausgerichtet!!! - Unser Handelsansatz ist aktiv und basiert auf eigener Markteinschätzung bzw. -erwartung.\r\n
          \r\n
          Die Anlage erfolgt grundsätzlich in globale Aktientitel. - Ein gewisser Teil des Portfolios kann in ausgesuchte, aktiv gemanagte Investmentfonds investiert werden. - Darüber hinaus wird in ETF's, sowie auf Rohstoffe besicherte ETC's (z. Bsp. physisch hinterlegtes Gold) investiert, um gewisse Regionen und Branchen, sowie zusätzliche Anlagesegmente abzudecken. Temporär können auch gewisse Absicherungen, mittels der angesprochenen ETF's, eingegangen werden. \r\n
          \r\n
          Auf den Einsatz von sogenannten Finanzinnovationen bzw. Zertifikaten wird ganz verzichtet. \r\n
          \r\n
          Grundsätzlich sind keine festen Investitionsquoten vorgesehen. - Diese können sich situationsbedingt zwischen 0 % und 100 % bewegen.\r\n
          \r\n
          Der Anlagehorizont ist langfristig, auf mehrere Jahre, ausgerichtet.\r\n
          \r\n
          Das durchschnittliche Renditeziel dieser Strategie sollte sich langfristig zwischen 8 - 10% p.a. bewegen. - Eine Schwankungsbreite des Portfolios von maximal rd. 10% wird angestrebt.
          """
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]