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      "value" => "Total Return - Nachhaltigkeitsindex"
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    0 => array:1 [
      "value" => """
        Ziel dieses Portfolio ist es eine ausgewogene Mischung an Wertpapieren zu halten.\r\n
        Dabei wird jede Industriezweig berücksichtigt und auf eine ausgewogene Ländermischung geachtet.\r\n
        Dabei steht der TOTAL Return Ansatz im Vordergrund.\r\n
        D.h Unternehmen investieren, die gute Wachstumsperspektiven vorweisen und eine gute Dividende zahlen.\r\n
        Mit dieser Strategie wurden Vergleichsindizies wie DAX 30 und S&P 500 oft outperformt.\r\n
        Nichtsdestotrotz wird ein kleiner Betrag für Trading reserviert, die für kurzfristige Chancen genutzt werden.\r\n
        \r\n
        Chance: Stabile Wertentwicklung auch in schwierigen Zeiten möglich. \r\n
                      Ausgewählte Unternehmen haben stabile Wachstumsaussichten und sind auf den Weltmärkten gut  \r\n
                      positioniert. \r\n
                      Gute Dividendenzahlungen können Kursverluste abfedern.\r\n
                      \r\n
        \r\n
        Risiken: Vor herben Konjunktureinbrüchen, Weltwirtschaftskrisen sind die ausgewählten Papiere auch nicht  \r\n
                     davor geschützt.
        """
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