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          In diesem Musterdepot sollen schwerpunktmäßig Aktien gehandelt werden. Dabei möchte ich auf ein sehr breit aufgestelltes  Depot aus meiner Meinung nach großen und mittelgroßen Werten aus Deutschland, sowie aus meiner Sicht bekannte Werte aus aller Welt setzen. Wenn es aus meiner Sicht eine günstige Gelegenheit gibt, soll auch auf Zertifikate ohne Hebel zurückgegriffen werden.\r\n
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          Beim Kauf soll speziell auf meiner Ansicht nach unterbewertete und unter Druck geratene Wertpapiere gesetzt werden. Bei diesen Werten kann es auch sein, dass die Positionen etwas größer sein können. Bei den anderen sich im Portfolio befindlichen Werten soll ein Grundstock gehalten werden, der je nach meiner Einschätzung der Marktlage angepasst wird.\r\n
          Verkauft sollte im Regelfall nur in der Gewinnzone werden . Bei hohen Beständen, die in der Verlustzone angekauft wurden, kann es kurz über dem Nullpunkt Teilverkäufe geben. Nur in Ausnahmefällen, wenn es mir sinnvoll erscheint, kann es Verkäufe in der Verlustzone geben.\r\n
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          Die Haltedauer und die Größe der Positionen soll sich nach meiner Einschätzung der Marktlage richten und den von mir erwarteten Erfolgsaussichten des Wertpapiers. Der Zuwachs sollte gleichmäßig und dauerhaft sein. Bei dieser Strategie sind jedoch Schwankungen nicht ausgeschlossen.
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