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          Ein Wert soll etwa zwei Handelstage hintereinander gekauft werden, danach sollen ca. fünf Karenztage berücksichtigt werden. \r\n
          Der Anlagehorizont soll kurz- bis mittelfristig sein.\r\n
          Realisierung bei einem Gewinn von ca. 5% je Position soll typisch sein.\r\n
          In meiner Meinung nach schwächeren Marktphasen, soll der zu investierende Betrag erhöht, in meiner Meinung nach festeren Märkten soll der Betrag reduziert werden.\r\n
          Daneben können regionale, saisonale und Branchen- Einflüsse berücksichtigt werden.
          """
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