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        Das Referenzportfolio (WERT & WACHSTUM Global) soll einen Stock-Picking-Ansatz verfolgen, der auf einem selbstentwickelten quantitativen Bewertungsmodell basiert. Der Algorithmus soll dabei neben Sentiment-Analysen sowohl fundamentale als auch technische Kennzahlen berücksichtigen.\r\n
        \r\n
        Dieses System soll der Objektivität dienen und somit eine rationale Entscheidungsfindung auf logischer Basis fördern.\r\n
        \r\n
        Die Haltedauer der einzelnen Positionen soll grundsätzlich mittel- bis langfrisitg angedacht sein, was wenigen Monaten bis mehreren Jahren entsprechen kann. Sollte sich eine Position entgegen den Erwartungen entwickeln, wird sich vorbehalten, die entsprechende Position auch schon nach wenigen Wochen zu schließen.\r\n
        \r\n
        Das Anlageuniversum soll hierbei durch den internationalen Aktienmarkt abgebildet werden. Optional können in bestimmten Marktphasen ETFs (inkl. Bonds und Rohstoffe) bzw ETCs, Fonds (inkl. Bonds und Rohstoffe) sowie Anlagezertifikate als Substitute für Aktien fungieren.
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