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          Das "Power Trader Global Momentum" Wikifolio soll Anlegern die Möglichkeit bieten, sowohl von steigenden als auch von fallenden Kursen in allen Bereichen der Kapitalmärkte gleichermaßen zu profitieren - also in jeder Marktsituation Gewinne zu erzielen. Eine deutliche Outperformance gegenüber Indizes kann dadurch erzielt werden.\r\n
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          Die Power Trader Global Momentum - Stategie berücksichtigt folgende Handelstechniken:\r\n
          \r\n
          • Chart- und Markttechnik\r\n
          • Nachrichten\r\n
          • Fundamentale Bewertung\r\n
          • Sondersituationen (Übernahmen, Kapitalerhöhungen, Aktienplazierungen)\r\n
          \r\n
          Es soll ein kurzfristiger Momentumansatz (Stärke kaufen, Schwäche verkaufen) verfolgt werden, parallel können aber auch, wenn der Markt es zulässt, längerfristige Positionen aufgebaut werden. Es kann an allen weltweiten Börsen und mit allen verfügbaren Finanzinstrumenten gehandelt werden, der Schwerpunkt liegt aber eindeutig im Bereich der Aktien und ETF´s. Ziel ist es, durch aktives Trading und Risikomanagement, konstante Profite an den Börsen und im Depot zu erzielen. Die anvisierte Wochenrendite liegt bei 1-2 %, die Jahreszielrendite somit bei > 25 %.\r\n
          \r\n
          Power Trader Global Momentum soll überwiegend Trades auf den DAX abbilden. Außerdem werden auch vereinzelt Trades mit Devisen, Rohstoffen oder andere Indizes durchgeführt. Hierbei werden sowohl Long- als auch Shortpositionen per ETF eingegangen und auch gezielt gehebelte Produkte eingesetzt. Temporär werden außerdem spekulative Trades auf Einzeltitel vorgenommen wenn ein entsprechend günstiges Chance-Risiko-Verhältnis vorliegt.\r\n
          \r\n
          Aufgrund meiner beruflichen Affinität und eines gut aufgestellten Netzwerkes (Facebook, Twitter, Trading-Communities, Börsenkontakte, Literatur etc.), sollte ein gute Informationsbeschaffung gewährleistet sein. Dazu kommt professionelles Kapitalmarkt-Wissen, fundierte Analysen und langjährige Erfahrungen. Durch die Analyse mehrerer Musterdepots und täglicher Überprüfung der einzelenen Strategien sollte eine optimale Auswahl in den einzelnen Assetklassen gewährleistet sein und auch die Risiken entsprechend minimiert werden. Oberste Priorität ist ein an die jeweilige Strategie angepasstes Risiko- und Moneymanagement, so dass auch in kurzfristig auftretenden Verlustphasen die Substanz entsprechend gewährleistet bleibt.
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