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Angestrebt ist eine Rendite knapp unterhalb der langfristigen Aktienrendite, aber mit deutlich weniger Schwankungsbreite. Die Wertentwicklung in Euro soll optimiert werden. \r\n Geplant ist, einzelne Werte flexibel zu halten. Sowohl kürzere als auch längere Haltedauern sollen möglich sein.\r\n \r\n Anlageklassen sollen in der Regel sein:\r\n Aktien, Unternehmensanleihen, Bankanleihen, Staatsanleihen, Pfandbriefe, Geldmarktprodukte, Rohstoffe. Es können aber auch Investments außerhalb dieser Anlageklassen getätigt werden. \r\n \r\n Die Umsetzung soll in der Regel über breit gestreute ETFs erfolgen, die regelgebunden einen Index nachbilden. \r\n Vereinzelt können auch derivative Techniken eingesetzt oder Einzeltitel gekauft werden.\r\n Es kann somit neben ETFs auch in Aktien, Fonds, Anlagezertifikate oder Hebelprodukte investiert werden.\r\n Sofern derivative Techniken eingesetzt werden, wird beabsichtigt die Wirkungsweise im Blog zu erklären.\r\n \r\n Maßgeblich für die Auswahl eines Wertpapiers oder ETFs soll zu großem Anteil die Marktliquidität sein. Dem Grundsatz "Kaufe nur, was du auch wieder zu fairen Preisen verkaufen kannst." soll Rechnung getragen werden. 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