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    0 => array:1 [
      "value" => "Value International Financials"
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    0 => array:1 [
      "value" => """
        Die Versicherungsbranche und Bankenbranche versuchen meiner Meinung nach , Lebens- und Geschäftsrisiken verschiedenster Art einzuschätzen , zu bewerten und mit Prämien und Gebühren zu versehen, um damit längerfristig Geld zu verdienen. Kapitalstarke Versicherungen, Banken und sonstige Finanzunternehmen konnten aus meiner Sicht zeigen, wie man erfolgreich durch eine andauernde Niedrig-Zinsphase navigieren kann. Meine Erwartung ist, dass dies auch in Zukunft der Fall sein könnte und mögliche steigende Kapitalmarktzinsen und Prämieneinnahmen die Erträge der im Portfolio befindlichen Unternehmen weiter ansteigen lassen könnten. Die Unternehmen im Portfolio sollen hauptsächlich nach Marktkapitalisierung, Kurs Gewinn Verhältnis, längerfristige Dividendenfähigkeit und Dividendenrendite  ausgewählt werden. \r\n
        Das Anlageuniversum umfasst nur Aktien.\r\n
        Die fundamentale Anlayse soll primär  verwandt werden.\r\n
        Die technische Analyse  soll sekundär verwandt werden.\r\n
        Der Anlagehorizont soll  mittel- bis langfristig sein.
        """
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  ]
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