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Nicht gehandelt werden sollen Aktien von Unternehmen, welche in der Rüstungsindustrie Geschäfte betreiben.\r\n \r\n Hauptkriterien für Käufe werden die üblichen Kennzahlen einer Aktie unter Einbeziehung von aktuellen Meldungen darüber sowie auch Einschätzungen von Analysten sein. Bei einem ETFs/Fonds kommen für ein Investment bei entsprechend erhofften Ertragsaussichten sowohl thesaurierende wie auch ausschüttende ETFs/Fonds in Betracht. Zukäufe folgen der Bestrebung möglichst Titel aus unterschiedlichen Ländern und Branchen zu erwerben, um einen breiten Markt abzubilden. Es wird angestrebt bis zu 50 verschiedene Aktientitel und bis zu 6 Indexfonds zu halten, damit eine breite Risikostreuung über Grenzen und unterschiedliche Märkte hinweg erreicht werden kann.\r\n \r\n Als klassische Strategie steht das Kaufen und Besitzen "buy and hold". Auf den Handel mit riskanten und eher spekulativen Anlagen, Optionsscheinen oder Hebelprodukten aller Art soll generell verzichtet werden. Ebenso ist ein tägliches Kaufen- und Verkaufen nicht vorgesehen. \r\n Auf Grund der beabsichtigten stets ausreichenden Kapitalreserven, sollen Verkäufe von ganzen Titeln möglichst nur bei starken Marktveränderungen, wie deutlichen Kurseinbrüchen zur Verlustbegrenzung als Option in Betracht kommen. Ausnahmen könnten Werte mit geringeren Marktkapitalisierungen bilden, wo Gewinnmitnahmen im Falle steigender Kurse auch dazu dienen sollen, die Größe der Position wieder ins ursprüngliche Verhältnis zurück zu setzen. Als geeignete Maßnahme bei fallenden Kursen können nach Erreichen eines Stopp-Limits auch Teilverkäufe angeordnet werden, um Verluste- gemessen am Gesamtwert aller Titel zu begrenzen, ohne den gesamten Titel zu verkaufen.\r\n \r\n Als Informationsquellen für jede Anlageentscheidung sollen alle verfügbaren Finanzseiten genutzt werden, wobei aus organisatorischen Gründen nicht auf jede Kursänderung reagiert wird. 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