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          Zudem gibt es meiner Meinung nach verschiedene Marktphasen, in welchen bestimmte Faktoren besser performen als in Anderen, folglich sollte in diesen Phasen die Gewichtung der jeweiligen Faktoren rotieren und an die Marktsituation angepasst werden. \r\n
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          \r\n
          Zur Abbildung eines jeden Faktors sollen grundsätzlich ETFs und Aktien verwendet werden. Dadurch soll generell eine weltweite und branchenübergreifende Diversifikation ermöglicht werden.
          """
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