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          \r\n
          Der geplante Anlagehorizont für das Gesamtdepot ist langfristig angesetzt und soll sich über einen Zeitraum von ca. 20 bis ca. 30 Jahren erstrecken.\r\n
          \r\n
          Um jederzeit zu versuchen, eine ausreichende Transparenz zu gewährleisten, ist beabsichtigt, in maximal ca. 16 bis 24 Einzelwerte zu investieren, die in regelmäßigen Abständen fundamental neu bewertet werden sollen.\r\n
          \r\n
          Die Anlage soll vorwiegend in Titel aus dem europäischen und US-amerikanischen Markt erfolgen. Es soll vor allem auf Dividenden-Aristokraten gesetzt werden (welche es bereits sind und welche, die sich auf dem besten Weg dorthin befinden).\r\n
          \r\n
          Als langfristiges Ziel wird angestrebt, durch ein risikoarmes und breit diversifiziertes Portfolio in verschiedene Sektoren, einen kontinuierlichen Vermögenszuwachs / -aufbau erreichen zu können und durch Neuinvestitionen der Dividenden vom Zinseszinseffekt profitieren zu können.\r\n
          \r\n
          Bei längeren Schwächephasen des Gesamtmarktes sollen vorhandene Positionen nicht panisch verkauft werden, stattdessen kann bei Bedarf die Chance für Nachkäufe genutzt werden, um vorhandene Positionen auszubauen.\r\n
          \r\n
          Bei entsprechendem Newsflow soll durch Swingtrading in Turnaroundwerte versucht werden, die Gesamtperformance des Portfolios zu steigern. Dies soll allerdings nur mit zeitlich begrenzten Investitionen in Höhe von maximal bis zu ca. 10% des Depotwertes erfolgen.
          """
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