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      "value" => "Realisierung 5.0"
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        Das Anlagespektrum soll ausschließlich weltweite Aktien und Cash umfassen. Es wird angestrebt, dass jede Postion nicht mehr als ca. 15% des gesamt Volumens ausmacht. Die Einzeltitelauswahl soll aus einer Kombination aus Charttechnik und Marktsentiment erfolgen. Des Weiteren soll die Reaktion bei bestimmten Einzeltiteln bewertet werden, um eine Überreaktion des Wertes nutzen zu können. Die Haltedauer kann in Einzelfällen sehr kurz sein, kann aber auch mittel- bis längerfristig ausfallen. Es ist beabsichtigt, bestehende Positionen laufend zu überprüfen, da durch aktives managen Kursgewinne ab ca. 5% realisiert werden sollen.\r\n
        Bei Chancen auf weiteren Anstieg soll abgewogen werden, ob die Aktie weiter gehalten wird oder nicht.
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