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        Die beiden Strategien sollen antizyklisches Handeln und Diversifikation sein. Um das Risiko zu streuen, soll grundsätzlich in mindestens 10 verschiedene Wertpapiere gleichzeitig zu investiert werden. Zukäufe sollen bei fallenden, Verkäufe bei steigenden Kursen erfolgen. Dabei soll vorwiegend in große, bekannte Unternehmen weltweit investiert werden. \r\n
        Die Haltedauer einzelner Wertpapiere kann sowohl zwischen weniger als einem Tag als auch einer langen Zeitdauer betragen. Bei Gewinnmitnahmen sollen grundsätzlich nur Teile der Aktien verkauft werden, um von eventuellen weiteren Kurssteigerungen profitieren zu können.
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