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          Es soll dabei hauptsächlich in weltweite BlueChips-Aktien sowie einzelne ETFs investiert werden, sehr technikorientiert, aber auch Energie, Auto, Immo & Finanz sollen dabei sein. Vorwiegend in USA (Nasdaq), Österreich & Deutschland, mit kleineren Beimengen in Kanada und UK. Bevorzugt Big Player und ab und an versteckte Technologie-Hoffnungsträgern. Als zusätzliche Diversifikation soll auch auch in ein paar wenige große ETFs investiert werden. \r\n
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          Die Entscheidungsfindung soll vorwiegend über Fundamentalanalyse erfolgen, durch die Auswahl besonders lang eingesessener Markführer, sowie Unternehmen die in den Top-Indizes der Länder gelistet sind, aus meiner Sicht gut eigenkapitalisiert sind und sich in Branchen bewegen, die möglichst krisensicher erscheinen. Wobei ein Hang zu Technologieunternehmen eingehalten werden soll. Die langfristige Wertsicherung soll im Vordergrund stehen, wichtiger als die Erzielung schneller Gewinne. \r\n
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          Technische Analyse sollen vorwiegend für kleine Gewinnmitnahmen zum Einsatz kommen, für Umschichtungen innerhalb des Portfolios, aber auch zur Absicherung bei bedrohten Werten. Hier soll mit Stoploss, RSI und EMA-Durchschnittswerten gearbeitet werden. Diese können auch bei Zukäufen und Nachkäufen eingesetzt werden, um nach einer grundsätzlichen Kaufentscheidung einen optimalen mittelfristigen Einstiegspunkt zu finden. \r\n
          \r\n
          Der Anlagehorizont soll grundsätzlich mittel- bis langfristig sein.
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]