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  "_controller" => "Drupal\devel\Controller\EntityDebugController::pathAliases"
  "_title" => "Path aliases"
  "wikifolio" => Drupal\wikifolio\Entity\Wikifolio {#1724
    #entityTypeId: "wikifolio"
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    #cacheContexts: []
    #cacheTags: []
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        "x-default" => "1536"
      ]
      "isin" => array:1 [
        "x-default" => "DE000LS9KT00"
      ]
      "wkn" => array:1 [
        "x-default" => "LS9KT0"
      ]
      "name" => array:1 [
        "x-default" => "DBADW015"
      ]
      "short_description" => array:1 [
        "x-default" => "Meine besten Aktien der Welt"
      ]
      "long_description" => array:1 [
        "x-default" => """
          Aktienclubs und einschlägige Literatur setzt laut meiner Recherche langfristig auf Aktien, die seit langer langer Zeit einen gesamt positiven Trend haben. Diese Strategie soll mit diesem Wikifolio aufgegriffen werden und  nur Aktien beinhalten, die seit Emission einen positiven Trend haben. Man kann diese Strategie auch Wachstumsstrategie oder ValueGrowth Strategie nennen. Naturgemäß findet man solche Wachstums-Dauerläufer meiner Meinung nach überwiegend in den USA, weshalb das Wikifolio USA Lastig sein sollte. Jede Aktie soll mit ca. 5000€ starten. Bei extremen allgemeinen Kurseinbrüchen soll die Aktien mit stärkstem Kursrückgang (>10%) zu ca. 5000€ nachgekauft werden. Bei extremen Übertreibungen soll die Hälfte der Outperformer verkauft werden. Es soll immer ca. 1/3 - 2/3 investiert sein und ca. 1/3 - 2/3 Cashreserve zur Verfügung stehen. Mein Ziel ist es so viele Wachstumsaktien mit ruhigem Kursverlauf zusammenzufassen wie ich finde. Ich benutze KEINE der bekannten Analysemethoden wie Fundamentalanalyse, Elliott Wellen oder sonstige Chartwerkzeuge. Es soll einzig und alleine nach dem Kursverlauf der Vergangenheit gegangen werde. \r\n
          \r\n
          5 Kriterien sollen zur Entscheidung beitragen:\r\n
          \r\n
          1. Kurs seit Emission positiv\r\n
          2. Alter einer Aktie mind. 2 Jahre (besser 10-20 Jahre)\r\n
          3. Durchschnittliche Schwankungen gering oder mit dem allgemeinen Markttrend kongruierend\r\n
          4. Durchschnittliche Wertsteigerung 100% oder mehr in den letzten 10 Jahren (Stand 2015)\r\n
          5. Sicherheit durch große namhafte Unternehmen (Marktführer)\r\n
          \r\n
          Bei Werten die noch keine 10 Jahre alt sind, sehe ich mir bei Punkt 4 die Durchschnittsrendite seit Emission an und rechne diese auf 10 Jahre hoch (Verdoppelung nach ca. 10 Jahren sollte als Minimum-Erwartung erreicht werden)\r\n
          \r\n
           Auf Sicht von ca. 5-10 Jahren könnte eine höhere DSR (Durchschnittsrendite) erzielt werden als jeder andere Index.\r\n
          """
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      "status" => array:1 [
        "x-default" => "Investable"
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      "trader_name" => 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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