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      "value" => "Börse Nebenwerte Dividende"
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      "value" => """
        Mein Portfolio soll gegen Wertverlust möglichst gesichert sein, deshalb ist eine breite Streuung meiner Meinung nach unumgänglich.\r\n
        Es wird versucht nur Dividenden- Übernahme- und unterbewertete Titel ins Portfolio zu holen.\r\n
        Meiner Erfahrung nach sind solche Aktien nicht so krisenanfällig,\r\n
        Zeigt die Marktkapitalisierung eine Unterbewertung an kommt ein Kauf in Frage.\r\n
        Dann wird versucht unter Auswertung der Markteinschätzung, Börsenbriefen  und diverse Abos ,die besten Werte ins Portfolio zu holen.\r\n
        Lange Behaltedauer, kontinuierlicher Ertragsaufbau, ca 10 Trades im Jahr, sollen im Vordergrund stehen.\r\n
        Ziel ist es nicht schnelle 100% und große Renditeschwankungen zu erzeugen sondern es wird versucht solide 20% oder mehr im Jahr zu erwirtschaften und eine satte Dividendenrendite.
        """
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