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Im Portfolio enthaltene Werte sollen in regelmäßigen Abständen auf ihre Attraktivität geprüft und können bei Bedarf durch aussichtsreichere Titel ersetzt werden.\r\n Für eine ausgewogene Diversifikation soll hierzu in der Regel branchen- und länderübergreifend mit einer breiten Streuung gekauft werden. Ziel ist es wachstumsorientiert durch günstige Einkäufe schwerpunktmäßig sowohl deutsche, europäische, amerikanische als auch asiatische Aktien in das Portfolio einzugliedern und dabei eine chancenorientierte Ausrichtung vorzunehmen. Soweit möglich sollen grundsätzlich mehr als etwa 20 verschiedene Titel enthalten sein, neben BlueChips können dabei auch Nebenwerte gekauft werden. Auch ein begrenzter Kapitaleinsatz auf Basis von aktuellen fundamentalen Nachrichten ist möglich.\r\n ETFs, Fonds und Zertifikate können grundsätzlich begrenzt als Beimischung eingesetzt werden. Die Haltedauer soll in der Regel im Bereich von einigen Tagen bis hin zu mehreren Wochen und Monaten liegen. Größere Drawdowns sollen durch das angewendete Risk- & Moneymanegement inkl. der ausgewogenen Diversifikation und der vornehmlichen Anlage in aus meiner Sicht starke Unternehmen soweit wie möglich vermieden werden.\r\n Als Basis für die Unternehmensbewertung sollen verschiedene Quellen wie Finanzzeitungen, Livemedien und das Internet dienen. 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