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        Ich plane auf weltweit ansässige Unternehmen zu setzen die meiner Analyse nach günstig bewertet sind. Grundlage soll ein System sein welches typische Kennzahlen (Bewertung, Verschuldung, Effektivität und Marktstellung) der Unternehmen in Punkte fasst (Ähnlich Susan Levermann). In die Werte mit überdurchschnittlicher Punktezahl (hohem Potenzial) soll investiert werden. \r\n
        Meine Strategie soll langfristig orientiert sein. Wenn ich eine Absicherung für nötig erachte, soll diese eher konservativ aussehen (z.B. Rentenfonds, Bargeld). Mein Fokus soll auf einer guten Mischung aus verschiedenen Branchen liegen so dass ich unterdurchschnittliche Volatilität erwarte. Einzelne Aktien sollten in der Regel nicht mehr als ca. 10% des Gesamtvolumens ausmachen, der Aktienanteil soll dabei grundsätzlich über ca. 50% liegen. Abweichungen hiervon sind jedoch jederzeit möglich. Meine Entscheidungen möchte ich möglichst antizyklisch treffen. \r\n
        Zur möglichen Risikostreuung und dem Versuch einer möglichen Werterhaltung können sämtliche ETFs, Fonds und Anlagezertifikate genutzt werden.\r\n
        Die Haltedauer einzelner Werte kann je nach Entwicklung und Marktlage variieren.
        """
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