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    0 => array:1 [
      "value" => "4087"
    ]
  ]
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    0 => array:1 [
      "value" => "DE000LS9SSB7"
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    0 => array:1 [
      "value" => "LS9SSB"
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  "name" => array:1 [
    0 => array:1 [
      "value" => "HCGL1"
    ]
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  "short_description" => array:1 [
    0 => array:1 [
      "value" => "HiddenChampion meet GlobalLeader"
    ]
  ]
  "long_description" => array:1 [
    0 => array:1 [
      "value" => """
        Die Handelsidee des wikifolios „HiddenChampions meet GlobalLeaders“ soll wie folgt aussehen:\r\n
        \r\n
        1. Anlageinstrumente\r\n
        Der Fokus soll auf Aktien, ggfs. Shortpositionen in ETFs und Anlagezertifikaten liegen.\r\n
        \r\n
        2. Aktienuniversum\r\n
        Es ist beabsichtigt, die Titel aus einem globalen Aktienuniversum wählen zu können.\r\n
        \r\n
        3. Marktkapitalisierung\r\n
        Es soll keine Anforderung an die Marktkapitalisierung der Titel gestellt werden (micro/ small/ mid Caps bis large Caps sollen möglich sein).\r\n
        \r\n
        4. Branchen\r\n
        Es ist geplant, Investitionen ausnahmslos in Unternehmen aus Branchen zu tätigen, die gesellschaftliche Megatrends bedienen:\r\n
        - Neo-Ökologie\r\n
        - Digitalisierung/ Konnektivität\r\n
        - Gesundheit\r\n
        - Urbanisierung\r\n
        - Wissenskultur \r\n
        \r\n
        5. Titelselektion\r\n
        Es ist angedacht, die Selektion auf Basis technischer und fundamentaler Bewertungskriterien vorzunehmen als auch die Wachstumsperspektiven zu berücksichtigen.\r\n
        \r\n
        6. Anlagehorizont\r\n
        Der Fokus soll auf einer mittel- bis langfristigen Haltedauer liegen. \r\n
        \r\n
        7. Portfoliogröße\r\n
        Das Portfolio soll sich stets aus einer breiten Basis an Titeln zusammensetzen.\r\n
        \r\n
        8. 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. Informationsquellen\r\n
        Es ist beabsichtigt, folgende Informationsquellen zur Einschätzung der Titel- und Marktlage zu nutzen:\r\n
        - Spezifische Internetseiten\r\n
        - Foren/ Blogs\r\n
        - Fachpresse\r\n
        - Konferenzen\r\n
        - Unternehmens-Homepages
        """
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  "status" => array:1 [
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      "value" => "Investable"
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  "trader_name" => array:1 [
    0 => array:1 [
      "value" => "DerBoersenDax"
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  "symbol" => array:1 [
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      "value" => "WF000HCGL1"
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  "creation_date" => array:1 [
    0 => array:1 [
      "value" => "1615110843"
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  "issuing_date" => array:1 [
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      "value" => "1637825129"
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  "daily_free_relative" => array:1 [
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  "performance_free_relative" => array:1 [
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  "cash" => array:1 [
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  "url" => array:1 [
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      "value" => "https://www.wikifolio.com/de/ch/w/wf000hcgl1"
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  "href" => array:1 [
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      "value" => "https://api.wikifolio.com/api/v1/wikifolios/de000ls9ssb7"
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