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          \r\n
          Basis soll ein Stamm von "Teflon-Werten" sein, an denen bisherige Schwankungen der Börsen (meiner Meinung nach) relativ spurlos vorbeigegangen sind. Hier möchte ich den Schwerpunkt voraussichtlich auf Aktien, ETFs und Fonds setzten. Allerdings können auch andere börsennotierte Werte neben den "Teflon-Werten" in Frage kommen, wenn sie langfristig eine stabile Performance aufweisen. Diese Werte sollten dann auch Monate oder Jahre, bei stabiler Entwicklung (Teflon-Werte), im Musterdepot gehalten werden.\r\n
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          Ich möchte meine Entscheidungsinstrumente, Chartsignale, Fundamentaldaten und einen möglichst langfristig linear steigenden Chartverlauf als Entscheidungskriterium nutzen um die, meiner Meinung nach, besten Teflon-Werte zu finden.\r\n
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]