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Eine Risikomanagement-Komponente in der Tradingstrategie soll dafür sorgen, dass in Marktphasen, die ich als volatil einschätze, die Investionsquote heruntergefahren werden kann. In besonders volatilien Marktphasen kann das Portfolio auf bis zu 100% Cashquote heruntergefahren werden. Auf diese Weise soll ein gewisser Schutz des virtuellen Kapitals erreicht werden. 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