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  "_title" => "Entity type definition"
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      ]
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      ]
      "wkn" => array:1 [
        "x-default" => "LS9H04"
      ]
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        "x-default" => "777MX771"
      ]
      "short_description" => array:1 [
        "x-default" => "Doppelte Diversifikation"
      ]
      "long_description" => array:1 [
        "x-default" => """
          Ziel dieses Dachwikifolios soll es sein, eine überdurchschnittliche Rendite bei gleichzeitig möglichst geringem Risiko und möglichst gleichmäßiger Equity-Kurve zu erzielen. Dies soll basierend auf dem Ansatz der doppelten Diversifikation erreicht werden. Das Kapital soll in mehrere wikifolio-Zertifikate investiert werden, denen ein bereits diversifiziertes Referenzportfolio zugrunde liegt.\r\n
          \r\n
          In das Dachwikifolio "Doppelte Diversifikation" sollen solche wikifolio-Zertifikate aufgenommen werden, deren Referenzportfolios einem positiven Trend folgen und in denen keine Hebelprodukte verwenden werden.\r\n
          \r\n
          Die Auswahl geeigneter wikifolio-Zertifikate und die Festlegung der Gewichtung im aktuellen Portfolio soll basierend auf den folgenden Faktoren stattfinden:\r\n
          \r\n
          Harte Faktoren sollen sein:\r\n
          - Diversifikationsgrad des jeweiligen Referenzportfolios\r\n
          - Performance der Referenzportfolios in unterschiedlichen Zeitintervallen\r\n
          - Sharpe Ratio der Referenzportfolios\r\n
          - Max. Draw-Down der Referenzportfolios\r\n
          - Länge der Trading-Historie des jeweiligen Referenzportfolios\r\n
          \r\n
          Weiche Faktoren sollen sein:\r\n
          -\tForm der Equity-Kurve der Referenzportfolios\r\n
          -\tTrader-Erfahrung der Trader der Referenzportfolios\r\n
          -\tTrading-Intensität der Trader der Referenzportfolios\r\n
          \r\n
          Es soll angestrebt werden, wikifolio-Zertifikate auszuwählen, deren Referenzportfolios verschieden lange Anlagehorizonte aufweisen.\r\n
          \r\n
          Bei der Verwaltung dieses Dachwikifolios soll ein konsequentes Risk- und Money-Management betrieben werden. Die Verluste sollen durch Stop-Loss-Order minimiert werden.\r\n
          \r\n
          Es ist geplant, das Portfolio täglich zu überwachen und mindestens ein Mal pro Woche zu analysieren, ob eine Umschichtung vorgenommen werden soll.
          """
      ]
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      "trader_name" => array:1 [
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      ]
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      ]
      "creation_date" => array:1 [
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      "issuing_date" => array:1 [
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      ]
      "daily_free_relative" => array:1 [
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      "performance_free_relative" => array:1 [
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      "cash" => array:1 [
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