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          Vermögensaufbau  mit dem Ziel 2023 bis 2025 das Kapital optimal verzinst zu haben , angestrebter Richtwert 7% p.a. (vor Steuern und Inflation)\r\n
          Mein Anlagehorizont beträgt also mindestens 10 Jahre\r\n
          \r\n
          \r\n
          BASIS: Basis soll ein Kerninvestment aus Fonds und ETFs sein, welche mehrere Jahre gehalten werden sollen -> eine Art buy and hold Strategie\r\n
          \r\n
          Rußland, Indien, Brasilien und China sollen über einen gemanagten Fond dargestellt werden.\r\n
          Aktien ETFs von Goldminen, Banken und Unternehmen im Bereich Alternativenergie runden den Basisteil ab.\r\n
          \r\n
          Aktien sollen übergewichtet werden \r\n
          Anleihen sollen untergewichtet werden \r\n
          Fremdwährungen sollen bewußt übergewichtet werden \r\n
          \r\n
          Der Basisteil soll mind. 50% des Depotwertes betragen.\r\n
          \r\n
          TRADING:\r\n
          zusätzlich sollen weitere Aktien und ETFs aller Branchen und Regionen gekauft und verkauft werden , \r\n
          die USA sollen untergewichtet werden \r\n
          Hier soll  unter den Gesichtspunkten Werte, Dividende und special situations investiert werden .\r\n
          Die Behaltedauer kann sehr kurz sein, eventuell auch nur einen Tag.\r\n
          \r\n
          \r\n
          Die Entscheidung soll überwiegend aufgrund der bei Zeitschriften und Internetseiten verfügbaren Fundamentaldaten erfolgen.
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    }
  }
  "_raw_variables" => Symfony\Component\HttpFoundation\InputBag {#1579
    #parameters: array:1 [
      "wikifolio" => "6984"
    ]
  }
  "_controller" => "controller.entity_form:getContentResult"
]