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Die Werte werden überwiegend mittel- bis langfristig gehalten.\r\n \r\n Ein sehr hoher Anteil möglichst breit gestreuter ETF oder Fonds soll Schwankungssicherheit bieten. Durch gezieltes Stock Picking weniger ausgewählter Aktien mit nach meiner persönlichen Ermessen langfristigem Wachstumspotential soll die Performance des Portfolios gesteigert werden. Nur in sehr seltenen Ausnahmen und bei fester Überzeugung eines nachhaltigen Wachstumstrends können minimale Anteile Hebelprodukte oder Anlagezertifikate hinzugefügt werden. \r\n \r\n ETF oder Fonds sollen sehr lange gehalten werden und nur selten angepasst werden. Aktien sollen mittelfristig gehalten werden und Hebelprokte oder Anlagezertifikate können in seltenen Fällen auch kurzfristig gehalten werden. \r\n \r\n Zur Ermittlung der breit gestreuter ETF oder Fonds wird auf die Auswahl gängiger Roboadvisor sowie eigener Analyse basierend auf Kosten und Streuung durch Regionen Industrien oder Unternehmensgrößen zurückgegriffen. \r\n Zur Ermittlung der Aktien und Hebelprodukte oder Anlagezertifikate sollen möglichst diverse Wirtschafts- und Technologie-Quellen genutzt werden. Der Fokus bei Aktien soll auf fundamentalen Daten liegen. Bei Hebelprodukten oder Anlagezertifikate sollen technische Analysen berücksichtigt werden. \r\n \r\n Es werden daher Werkzeuge des gesamten Anlageuniversums angewendet, um je nach Marktlage, Trends und Assetklasse die richtigen Entscheidungen treffen zu können um leicht überproportional zum Markt zu wachsen. Es sollen globale Werte aus allen Märkten gekauft werden, die nach meinem Ermessen zur breiten Streuung beitragen und nachhaltiges Wachstumspotential aufweisen. 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