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          - Hinzunahme von Put-Optionsscheinen o.ä. Produkten zu einem Aktien-/ETF-Portfolio\r\n
          - überwiegend kurz- bis mittelfristig ausgerichtetes Trading\r\n
          - Erhöhung der Cash-Quote\r\n
          - Wechsel zwischen long- und short-Produkten je nach Einschätzung der Marktlage\r\n
          Die Zertifikate sollen mind. seit ca. einem Jahr emittiert sein. Es sollte bislang ein möglichst stetiges Gewinnwachstum mit moderater Volatilität erreicht worden sein. \r\n
          Im Ausnahmefall soll von diesen Regeln abgewichen werden können, um je nach Marktlage auch andere aus meiner Sicht erfolgversprechende Zertifikate beimischen zu können. Der Strategie folgend soll auch in Zertifikate investiert werden können, deren Referenzportfolio Hebelprodukte beinhalten. Die Haltedauer soll in der Regel mittel- bis langfristig ausgerichtet sein, ein Verkauf/Austausch eines Zertifikats soll aber jederzeit möglich sein. Die Cash-Quote soll je nach Marktlage im Extremfall bis 100% erhöht werden können.
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