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  "_title_callback" => "\Drupal\Core\Entity\Controller\EntityController::deleteTitle"
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    #enforceIsNew: null
    #typedData: null
    #cacheContexts: []
    #cacheTags: []
    #cacheMaxAge: -1
    #_serviceIds: []
    #_entityStorages: []
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      ]
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      ]
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          Bevorzugt werden meiner Meinung nach große, etablierte Unternehmen -Blue Chips-, gefolgt von Dividendenaktien. Der Anlagehorizont soll hier mittel- bis langfristig gewählt werden. Außerdem ist es geplant bei Übertreibungen am Markt die Volatilität von Einzeltiteln durch kurzfristige Anlagen (Haltedauer wenige Wochen bis Monate) zur Performancesteigerung auszunutzen. Hierzu können große und kleine Titel zur Auswahl kommen.\r\n
          Durch die Aufteilung in Blue Chips, Dividendenaktien und "Performer" kann es vorkommen, dass z.B. ein DAX-Titel als Blue Chip und Dividendenaktie im Portfolio landet und somit übergewichtet wird.\r\n
          Die Auswahl der Portfoliotitel kann durch Fundamentaldaten, Nachrichtenlage und/oder Charttechnik erfolgen und ist von der jeweiligen Marktlage und dem jeweiligen Titel abhängig.\r\n
          \r\n
          Zusätzlich sollen je nach Marktsituation bis zu 10 % als Cash gehalten werden. Um dieses über einen längeren Zeitraum (> 3 Monate) nicht zinslos liegen zu lassen, kann das verfügbare Cash teilweise oder ganz in offene Immobilienfonds mit einer meiner Meinung nach hohen Liquidität geparkt werden. In besonderen Marktsituationen kann die Cash-Quote aber auch kurzfristig bis zu 100 % des Portfolios ausmachen.\r\n
          \r\n
          Um bestehende Positionen abzusichern, kann auch ein ETF auf fallende Kurse (Short-DAX) im Depot auftauchen.
          """
      ]
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      "trader_name" => array:1 [
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      "de" => Drupal\Core\Language\Language {#1728
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      "zxx" => Drupal\Core\Language\Language {#1722
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    -host: ""
    -schemes: []
    -methods: array:2 [
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      1 => "POST"
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    -compiled: Drupal\Core\Routing\CompiledRoute {#1580
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          3 => "wikifolio"
          4 => true
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      #fit: 29
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]