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Die Positionsselektion soll grundsätzlich aus seinem breitgefächerten Spektrum erfolgen und kann von value bis growth inkl. aggressiv wachsenden Hochtechnologie Titeln alles beinhalten.\r\n \r\n Zur technischen Analyse soll eine Kombination u.a. aus folgenden Indikatoren genutzt werden:\r\n -RSI 14 (Relative Strength Index) in Kombination mit:\r\n -SMA 50 & 200 (simple moving average) und\r\n -Volumen (Kaufsignale müssen von einem Volumen, dass über dem Langzeitdurchschnitt liegen, bestätigt werden. Verkauf Signale brauchen nicht diese Bestätigung) \r\n \r\n Zusätzlich zu den oben aufgeführten Indikatoren soll konstant geprüft werden in welcher Phase sich der Gesamtmarkt befindet:\r\n Phase 1 Basis (Der Markt ist gefallen und hat einen Seitwärtstrend)\r\n Phase 2 Aufwärts Trend (Markt geht nach oben mit steigendem Volumen = kaufen)\r\n Phase 3 Gipfel (Normalerweise starkes Volumen und Preise sind volatil = vorsichtig beobachten ob es Ausbruch Signale gibt)\r\n Phase 4 Fallender Trend (Nach einem “run” kommt irgendwann der Fall….jetzt wird verkauft)\r\n \r\n Zusätzlich sollen makroökonomische Informationen wie z.B. der LEI Index (Leading Economic Indicators) zur Entscheidungsfindung hinzu gezogen werden.\r\n \r\n Aktien und ETFs sollen aus einem international Pool ausgewählt werden mit Schwerpunkt auf Titel die in den USA gehandelt werden. Teil der Analyse soll es sein, Umkehrungen im Trend zu erkennen und darauf zu reagieren um die Gewinne zu optimieren. Dazu können bis zu 10% des Gesamtkapitals für Optionsschein-Handel benutzt werden, was je nach Marktphase auch mehr sein kann. 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