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  "_title" => "Devel Load (with references)"
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          In diesem wikifolio soll in Aktien, Fonds, ETF-Werte, Anlagezertifikate als Beimischung, und Hebelprodukte investiert werden. \r\n
          Der Ansatz soll darin bestehen, klaren Trends, egal ob fallend oder steigend, möglichst zu folgen, unter Anwendung von Swing Trading (Ausnutzung von Kursschwankungen), Day Trading und Index-Investitionen (Passiver Ansatz).\r\n
          \r\n
          Insgesamt soll bei der Entscheidungsfindung keine Einschränkung auf einzelne Anlageklassen erfolgen. Die Auswahl soll unter folgenden Aspekten erfolgen:\r\n
          Technische Analyse:\r\n
          Konstruktion/Darstellungsformen von Charts (wie Linienchart, Kerzenchart, Balkenchart, Point & Figure Chart, Bollinger-Bänder etc.)\r\n
          Trendfolgemodell der gleitenden Durchschnitte,\r\n
          Fundamentale Analyse:\r\n
          Globalanalyse (wie Konjunkturverlauf, Wechselkurse, Zinsentwicklung, Geldmengenentwicklung, Inflation, fiskalpolitische Vorhaben, politisches Umfeld,\r\n
          Analyse von Directors Dealings, Aktienrückkaufprogramme, etc. Newstrading.\r\n
          Die Entscheidungsfindung für Investitionen erfolgt hauptsächlich unter Anwendung der Technischen Analyse, Trendfolge Gleitende Durschnitte und Fundamentalanalyse.\r\n
          \r\n
          Das Anlageuniversum soll aus Aktien weltweit, ETF-Werten, Fonds, Anlagezertifikaten und Hebelprodukten bestehen. Es ist beabsichtigt, Indizes unter Verwendung von Anlagezertifikaten als Beimischung zu handeln. Beispielhaft sollen hier Discountzertifikate bei seitlich tendierenden Börsen zum Einsatz kommen.\r\n
          Hebelprodukte auf steigenden oder fallende Kurse sollen bei Trends zum Einsatz kommen (z.B. bei Rohstoffen).\r\n
          \r\n
          Der Anlagehorizont soll überwiegend kurzfristig sein.
          """
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