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        Das Portfolio soll weltweit in Aktien, Anleihen und Rohstoffe investieren, wobei der Aktienanteil etwa bei 50 Prozent liegen soll. Dieser Prozentsatz kann sich je nach Marktlage auch deutlich erhöhen oder verringern, sollte aber in ruhigeren Marktphasen wieder auf etwa 50 Prozent gebracht werden.\r\n
        \r\n
        Die Anlage in Anleihen und Rohstoffe soll über ETF's erfolgen, wobei im Anleihebereich sowohl in Staatsanleihen als auch in Unternehmensanleihen investiert werden soll. \r\n
        \r\n
        Die Anlage in Aktien soll dagegen in erster Linie in Einzelwerte und nur in Ausnahmefällen über ETF's (Emerging Markets, Small Caps) erfolgen. Bei der Aktienauswahl sollte der Fokus bei mittelgroßen und großen international tätigen Unternehmen mit einem soliden Geschäft und einer moderaten Bewertung liegen. \r\n
        \r\n
        Ziel des Portfolios soll ein langfristiger Vermögensaufbau bei akzeptablen Risiko sein.\r\n
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