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          \r\n
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          \r\n
          Striktes Money-Management und Risk-Management sollten perspektivisch gute Ergebnisse bringen. \r\n
          \r\n
          Der Anlagehorizont je Position soll kurzfristig sein. Es sind regelmäßige unterjährige Umschichtungen geplant.\r\n
          \r\n
          Im Normalfall sollten sich aus dem Trading-Setup mit definierten Stop-Loss und Take-Profit Marken die Haltedauern ergeben. Aus der Wellenentwicklung einer zum laufenden Trade gehörigen Analyse kann sich ergeben, dass ein laufender Trade vor dem Erreichen der Zielmarken abgebrochen oder der SL nachgezogen wird.
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