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        Als Handelsidee dient seit 2014 eine stabile und langfristige Asset Allocation. In 2014 wurde die Buy and Hold Strategie gestartet und kann aktuell gering angepasst werden.\n
        Aus dem Anlageuniversums sollen mehr als 50% Einzelaktien im Depot bleiben. Ergänzt werden diese Aktien mit globalen oder regionale ETF’s um das Weltportfolio abzudecken.\n
        Für meine Kaufentscheidung und das investieren in Wertpapiere wird die langfristige Asset Allocation verwendet. Diese berücksichtigt im wesentlichen die Portfolio Gewichtung nach Branchen, Länder, und die Dividenden.\n
        Diese liquiden Mittel nach der Ausschüttungen sollen nach den genannten Kriterien wieder angelegt werden.\n
        Die Haltedauer für die Wertpapiere ist langfristig bis 2030, diese können aber auch länger gehalten werden.\n
        Für die Entscheidungsfindung im Portfolio plane ich kurz- oder mittelfristige Rückschläge zu nutzen um auch langfristige Kurssteigerungen zu erzielen. Wesentlich dazu sind die geplanten Dividendenerträge.\n
        Für Investitionen informiere ich mich aus einschlägigen Fachzeitschriften, Internet, und TV-Nachrichten.
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