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          - Ziel des  Portfolios soll eine konstante Wertentwicklung bei möglichst geringem max. Verlust sein. \r\n
          \r\n
          - Für das Investment-Timing sollen Instrumente der technischen Analyse (z. B. gleitende Durchschnitte, Indikatoren wie der True Strength Index TSI, Bullish-Percent-Indizes, die relative Stärke nach Levy, etc.) und die Intermarket-Analyse genutzt werden. \r\n
          \r\n
          - Durch die Berücksichtigung von Volatilitätsindikatoren soll die Investmentquote und damit das Verlustrisiko gesteuert werden. \r\n
          \r\n
          - Auch saisonale Muster sollen für das Risiko-Management berücksichtigt werden.\r\n
          \r\n
          - Für die Steuerung der Investment-Quote sowie der Auswahl von Asset-Klassen sollen ferner  Fundamental-Indikatoren berücksichtig werden  wie z. B. Geschäftsklima-Indizes, Einkaufsmanager-Indizes, die Zinsentwicklung und Marktbewertungsindikatoren.\r\n
          \r\n
          - Das Anlageuniversum soll grundsätzlich Aktien aller Länder, ETFs, Fonds, Anlagezertifikate und auch Hebelprodukte umfassen.\r\n
          \r\n
          - Der Anlagehorizont soll überwiegend langfristig sein.\r\n
          \r\n
          - Inspired by Buffett, Dalio, Levermann, Gebert, Kommer, Levy and Faber ... but keeping it much more simple!
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