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Ziel soll es sein, potenzielle saisonale Chancen zu nutzen und gleichzeitig durch eine flexible Allokation in meines Erachtens defensivere, liquiditätsnahe Instrumente das Risiko in schwächeren Marktphasen zu begrenzen.\r\n \r\n Zur Umsetzung kann das gesamte wikifolio Anlageuniversum genutzt werden. Hebelprodukte sollen überwiegend in Long-Positionen eingesetzt werden, während Short-Positionen grundsätzlich nur selten und situationsabhängig genutzt werden sollen. Weitere zugelassene Produktarten können bei Bedarf berücksichtigt werden.\r\n \r\n Ein Kernbestandteil des Ansatzes soll in der Regel die Steuerung der Investitionsquote zwischen chancenorientierten Marktsegmenten und defensiveren, liquiditätsnahen Anlagen sein. 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