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          Anlagestrategie:\r\n
          Investiert werden soll in internationale Aktien. \r\n
          Dabei werden ausschließlich einzelne Aktien und ggf. Geldmarktfonds in das Portfolio aufgenommen. Geldmarktfonds können dazu dienen freie Liquidität vorübergehend anzulegen. \r\n
          Eine Währungsabsicherung gegenüber EUR oder einer Nachfolgewährung soll nicht stattfinden. \r\n
          Die Investitionsquote in Aktien kann 0-100 %, wird jedoch i.d.R. 50-95 % betragen. \r\n
          Die Größe einzelner Positionen im Portfolio ist variabel, wird meinen Markteinschätzungen entsprechend angepasst und beträgt im allgemeinen 2-10 %.\r\n
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          Die Auswahl der Wertpapiere erfolgt vor allem durch fundamentales Research.\r\n
          Selektiert werden sollen hauptsächlich große (Large Caps) und mittelgroße (Mid Caps), weniger kleine Firmen (Small Caps).\r\n
          Die ausgesuchten Aktien sollen eines der beiden folgenden Kriterien erfüllen:\r\n
          Typ A: Konservative Titel, wertbeständig, schwankungsarm im Kursverlauf, möglichst dividendenstark.\r\n
          Typ B: Wachstumswerte mit interessanter Story und viel Kurspotenzial, aber keine Hot bzw. Penny Stocks.\r\n
          Der Schwerpunkt im Portfolio soll auf Aktien vom Typ A liegen.\r\n
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          Renditeziel:\r\n
          Eine über die Jahre positive Rendite von 5-10% p.a. wird angestrebt. \r\n
          \r\n
          Depotüberwachung:\r\n
          Eine permanente Überwachung der Wertpapiere im Portfolio soll langfristig den Anlageerfolg sichern.
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