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Gewichtung\r\n Beim Kauf der einzelnen Titel soll auf eine einheitliche Gewichtung in Abhängigkeit der Marktkapitalisierung geachtet werden, Unterscheidung in: \r\n - Micro/ small/ mid Caps\r\n - Large Caps\r\n Ein regelmäßiges Re-Balancing soll nicht stattfinden.\r\n \r\n 9. Risikomanagement\r\n Der Risikomanagement-Ansatz soll folgende Aspekte berücksichtigen: \r\n - Globale Diversifikation\r\n - Sektorale Diversifikation\r\n - Breite Titelbasis \r\n - Geringe Gewichtung von Einzeltiteln\r\n - Shortpositionen in ETFs und Anlagenzertifikaten sollen zwecks Portfolioabsicherung in turbulenten Börsenphasen möglich sein.\r\n \r\n 10. 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