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Es soll in Aktien weltweit, Branchen, Länder ETFs (Fonds) oder Rohstoff ETFs (Fonds) und ETFs auf Indices wie zb. auf den DAX investiert werden.\r\n \r\n Entscheidungsgrundlage soll zum einen der Chart, zum anderen die Gesamtmarktverfassung, und etwaige Unternehmensnachrichten sein.\r\n \r\n Die Investmentstrategie sollte sich der jeweiligen Marktlage anpassen. Was bedeutet wird an den Märkten zbsp. überwiegend der Value Sektor gespielt sollte sich dies auch im Wikifolio wiederspiegeln.\r\n \r\n Getradet werden soll stets der übergeordnete Trend bzw. Werte die sich in einer aussichtsreichen charttechnischen Ausbruchssituation, Bodenbildungsituation befinden\r\n \r\n Der Anlagehorizont soll eher mittelfristig bis langfristig sein\r\n Größere Verluste in einzelnen Positionen sollen vermieden werden sollte sich eine Position schlecht entwickeln oder durch meiner Meinung nach schlechten Nachrichten belastet werden, wird ein schneller Verkauf - auch mit Verlust - erfolgen.\r\n \r\n In turbulenten "Crashphasen" kann die Cash Quote bis 100% erhöht werden. 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