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          Das Wikifolio soll einen langfristigen und systematischen Ansatz verfolgen, um einen möglichst nachhaltigen Wertzuwachs bei aus meiner Sicht möglichst gutem Chance/Risiko Verhältnis zu erzielen.\r\n
          \r\n
          Transaktionen sollen monatlich nach speziellen kennzahlorientierten Auswahlkriterien getätigt und die Titel für etwa 12 Monate gehalten werden.\r\n
          Dabei soll üblicherweise stark diversifiziert werden.\r\n
          \r\n
          Gehandelt werden sollen vorrangig Aktien.\r\n
          Situativ kann auch in  ETFs (long/short) investiert werden.\r\n
          Hebelprodukte sollen ausgeschlossen sein.\r\n
          \r\n
          Relevante Faktoren im Screening-Prozess können u.a. sein:\r\n
          Enterprise Value / Cash Flow from Operations\r\n
          Preis / Buchwert\r\n
          Preis / Umsatz\r\n
          Marktkapitalisierung\r\n
          Kurs im Verhältnis zur 50 / 200 Tage-Linie\r\n
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          52-Wochen-Kursperformance \r\n
          Piotrowski Score\r\n
          Gewinnwachstum\r\n
          Dividendenrendite\r\n
          \r\n
          \r\n
          Die Strategie soll sich damit an den umfassenden empirischen Erkenntnissen des Klassikers "What works on Wall Street" von James O'Shaughnessy anlehnen.
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      "perf12m" => array:1 [
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      "perfever" => array:1 [
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      "created" => array:1 [
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      "changed" => array:1 [
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      "solid_changed" => array:1 [
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      "de" => Drupal\Core\Language\Language {#1728
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      "label" => "9104"
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    #translatableEntityKeys: []
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    #revisionTranslationAffectedKey: "revision_translation_affected"
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    -compiled: Drupal\Core\Routing\CompiledRoute {#1580
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        1 => array:5 [
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      -hostVariables: []
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      -hostTokens: []
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      #numParts: 5
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  "_raw_variables" => Symfony\Component\HttpFoundation\InputBag {#1579
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]