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          Das Portfolio "Megatrend" soll Aktien von Unternehmen (auch ETF's bzw. ETC's zu Rohstoffen) enthalten, von denen angenommen wird, dass sie in den nächsten 6 bis 36 Monaten überdurchschnittlich von weltweiten Megatrends profitieren.\r\n
          \r\n
          Folgende Megatrends sollen in Betrachtung, in Analysen und in die Verknüpfungsansätze einbezogen werden:\r\n
          01 Demografischer Wandel/Silver Society/Wachstum Weltbevölkerung/Urbanisierung\r\n
          02 New Mobility/Smart Logistic\r\n
          03 Digitale Durchdringung des Alltags/ Web 3.0\r\n
          04 Individualisierung/Mikromärkte/Do-it-yourself Ökonomie\r\n
          05 Globalisierung 2.0/neue Mittelschichten Emerging Markets/neue Fragmentierung d. Wertschöpfung\r\n
          06 Umgestaltung der Gesundheitssysteme/neue Krankheitsbilder/Zielforschung in der Biotechnik\r\n
          07 Wandel in der Geschlechterrolle/Work-Life-Balance/neue Arbeitswelten/ Fragmentierung der Lebenslagen\r\n
          08 Soziale Disparität/Polarisierung Arm u. Reich/neue Migrationsströme/Suche nach Chancenparität\r\n
          09 Konvergenz der Technologien/Nano-IT-Biotec-künstl. Intelligenz-Robotik\r\n
          10 Bildung/Wissens-Eliten/longlife learning/IP without borders\r\n
          11 Neue Konsum-Muster/Group buying, sharing, Virtualisierung, Follower behaviour\r\n
          12 Dezentrale Infrastruktur/dezentrale Energieerzeugung/Erneuerbare Energien/Anpassung an Klimawandel\r\n
          \r\n
          Ziel sollte es sein mittel- und langfristig von diesen Megatrends zu profitieren und entsprechend langfristige und gleichmäßige Renditen zu erzielen.\r\n
          Ansatz: Nur wer rechtzeitig in Werten investiert ist, die von sogenannten Megatrends profitieren kann meiner Meinung nach  auch in einem volatilen Umfeld langfristig Wert erhalten und ggf. mehren.\r\n
          Quellen sollen eigene Analysen zu allgemein zugänglichen Studien (Energiewirtschaft, Rohstoffverbrauch, pol. Entwicklungen, technologische Entwicklungen, ...), Anwendung von Vernetzungen, Szenariotechnik und eigen erstellten Kennzahlen sein. \r\n
          Ein Hedging von Risiken soll nicht Bestandteil des Portfolios sein. \r\n
          Die Wertpapiere sollen entsprechend des angenommenen überproportionalen Anstiegs zur entsprechenden Phase des jeweiligen Megatrends gehalten werden (6 bis 36 Monate). Bei Eintritt besonderer Konstellationen aus begleitend zur Megatrendbetrachtung erfolgter Kapitalmarktbetrachtung können auch kurzfristigere Entscheidungen getroffen werden und auch Umschichtungen in Barbestand erfolgen.
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  "_raw_variables" => Symfony\Component\HttpFoundation\InputBag {#1579
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]