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      "value" => "9225"
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      "value" => "GRANIT1"
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  "short_description" => array:1 [
    0 => array:1 [
      "value" => "Granit"
    ]
  ]
  "long_description" => array:1 [
    0 => array:1 [
      "value" => """
        BASISIDEE:\r\n
        Der Anlagehorizont ist eher LANGFRISTIG geplant. Der FOKUS soll auf WERTERHALT liegen.\r\n
        Gewinne sollen generiert werden aus KURSGEWINNEN und EINNAHMEN aus DIVIDENDEN. \r\n
        Dividenden werden nur berücksichtigt, wenn diese im wikifolio anfallen.\r\n
        \r\n
        Dafür sollen bevorzugt Firmen gekauft werden, die meines Erachtens gesund, groß und kampfstark sind.\r\n
        \r\n
        Geplante Auswahl eher per FUNDAMENTALANALYSE:\r\n
        Es ist beabsichtigt, Aktien zu kaufen, wenn einige dieser Punkte für sie sprechen:\r\n
        \r\n
        Höhe der Dividende\r\n
        Wird die Dividende aus Erträgen bezahlt oder aus der Substanz? \r\n
        Eigenkapital zu Fremdkapital: Ist eine Firma verschuldet? \r\n
        Volatilität des Kurses?\r\n
        Sitz / Tätigkeitsschwerpunkt?\r\n
        Marktkapitalisierung?\r\n
        Erfahrung des Managements? \r\n
        Streubesitz?\r\n
        Kauft oder verkauft man eigene Aktien?\r\n
        Gewinn - Margen?\r\n
        Zukunftserwartung für die nächsten 3 Jahre?\r\n
        gängige Kennzahlen (englische Abkürzungen): PE, PEG, PB, ROE, ROA, ROCE uam.\r\n
        \r\n
        TIMING eher per TECHNISCHER ANALYSE:\r\n
        \r\n
        Es sollen Kerzencharts und Volumina, weekly, daily und hourly verwendet werden.\r\n
        \r\n
        Fürs Timing sollen in der Regel Methoden der Markttechnik genutzt werden. Meine Wurzeln sind die Konzepte von Erdal Cene (Buch "Professioneller Börsenhandel" und seine Seminarreihe in Lohr), Michael Voigt (Buch "Das große Buch der Markttechnik" und die 7teilige Serie "Der Händler").\r\n
        \r\n
        Mein heutiges REGELWERK ist eine weitreichende Weiterentwicklung daraus. Handelsansätze sind Gegenstand täglicher Anwendung und dabei verändern sie sich im Laufe der Zeit.\r\n
        \r\n
        Geplantes Money-Management:\r\n
         \r\n
        angestrebt ist:\r\n
        - ca 1-2 % pro POSITION (die jeweilige Aktie).\r\n
        - ca 2-10 % pro POSITIONS-GRUPPE (z.B. Nahrungsmittel)
        """
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