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Dabei soll sich deren Auswahl an der vorliegenden Zusammensetzung des Portfolios orientieren um eine möglichst hohe negative Korrelation zu erreichen. \r\n \r\n Dabei sollen die einzelnen Positionsgrößen ca. 15% nicht überschreiten. Grundsätzlich soll sich die maximale Positionsgröße an der Marktkapitalisierung und am Free Float der jeweiligen Aktie orientieren um die Positionen schnell auf- und abbauen zu können. \r\n \r\n Bei der Entscheidungsfindung können verschiedene Aspekte eine Rolle spielen wie die fundamentale Bewertung einer Aktie, der aktuelle Newsflow (e.g. Adhoc-Meldungen, Directors' Dealings), Sondersituationen (e.g. Übernahmen, Beherrschungsverträge, Squeeze-Outs) und auch die Charttechnik. Um passende Ein- und Ausstiegspunkte zu finden soll grundsätzlich die technische Analyse unterstützen. \r\n \r\n Das Anlageuniversum soll sämtliche Aktien und sämtliche ETFs aber KEINE Hebelprodukte, Anlagezertifikate oder Fonds umfassen.\r\n \r\n Die Haltedauer soll grundsätzlich kurz- bis mittelfristig ausgelegt werden. 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