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Es sollen in der Regel ETFs und Fonds mit großem Volumen und langem Trackrecord gemischt werden um eine möglichst optimale Rendite zu erzielen, bei möglichst breiter Risikostreuung. Der Anlagehorizont ist grundsätzlich mittel- bis langfristig geplant.\r\n \r\n Bei Marktkorrekturen soll das Portfolio gegebenenfalls angepasst und bei starken Marktkverschiebungen Werte nachgekauft werden. Dafür sollen Teile des Kapitals als Cash vorgehalten werden um bei einer Verschiebung schnell handeln zu können und entsprechende Chance mitnehmen zu können.\r\n Fokus soll ein langfristiges Investment mit weltweiter Diversifizierung in alle Regionen und Anlageklasse sein für eine möglichst weite Streuung des Risikos. \r\n Einzelwerte sollen in der Regel mit dem Fokus auf neue Technologien und möglichen großen Zukunftschancen ausgewählt werden. Mit Blick auf eine möglicherweise hohe Rendite und Beteiligung an großen Wertsteigerungen soll ein kleiner Teil des Kapitals in Small und Medium Caps investiert werden. 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