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          Die Strategie:\r\n
          \r\n
          Es sollen die Chancen der Aktienmärkte langfristig wahrgenommen werden. Der Focus ist hier einen eher langfristigen Anlagehorizont zu erfüllen.\r\n
          \r\n
          Chance-Risiko:\r\n
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          \r\n
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          \r\n
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          - niedriges Verhältnis zwischen Kurs und Umsatz\r\n
          - niedriges Verhältnis zwischen Kurs und Cashflow\r\n
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          - sehr gutes Chance/Risikoverhältnis\r\n
          \r\n
          Branchen- und Portfolioschwerpunkte sollen unter anderem folgende sein:\r\n
          - Technologie\r\n
          - Banking und Finance\r\n
          - New Verticals\r\n
          \r\n
          Anlageuniversum:\r\n
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          - Hebelprodukte, ETFs und Anlagezertifikate sind im Anlageuniversum \r\n
          - Bond-ETFs und Rohstoffe ETFs \r\n
          \r\n
          Anlagehorizont: \r\n
          12-36 Monate\r\n
          \r\n
          Quellen sind Nachrichten, Börsennewsletter, eigene Recherche und Analysen.\r\n
          Portfolio mit Werten aus Schwerpunkt USA und EU.
          """
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