array:6 [ "_controller" => "Drupal\devel\Controller\EntityDebugController::entityRender" "_title" => "Devel Render" "wikifolio" => Drupal\wikifolio\Entity\Wikifolio {#1726 #entityTypeId: "wikifolio" #enforceIsNew: null #typedData: null #cacheContexts: [] #cacheTags: [] #cacheMaxAge: -1 #_serviceIds: [] #_entityStorages: [] #values: array:34 [ "id" => array:1 [ "x-default" => "611" ] "isin" => array:1 [ "x-default" => "DE000LS9PKJ3" ] "wkn" => array:1 [ "x-default" => "LS9PKJ" ] "name" => array:1 [ "x-default" => "SMPGP" ] "short_description" => array:1 [ "x-default" => "Small Cap Pre-Growth Picks" ] "long_description" => array:1 [ "x-default" => """ Ich versuche in diesem wikifolio nach meiner Ansicht nach unbekannten Small Caps zu suchen. Gekaufte Small Caps schwanken meiner Meinung nach so stark, dass es kaum möglich sein wird einen passenden Take-Profit oder Stop-Loss zu setzen. Geplant ist also das Halten bis zu einer erkennbaren Überbewertung des Marktes, sodass überwiegend eine langfristige Haltedauer beabsichtigt ist. Ebenso sollen meiner Analyse nach perspektivlose Aktien (Übernahme abgeschlossen, Märkte übersättigt, perspektivlos verändertes Geschäftsmodell) wieder verkauft werden.\r\n \r\n Die Fundamentaldaten, Unternehmensbewertung und die langfristige Perspektive der Idee hinter dem Unternehmen müssen aber stimmen (Uniqueness, Konzept, Demografie). Ebenso soll die Aktie nicht schon "davongelaufen" sein indem sie in der technischen Analyse bereits nach einer Bodenfindung ausgebrochen ist. Ich rechne damit, dass es auch Werte geben wird, die sich beispielsweise komplett auflösen und Werte die sich potentiell verzehnfachen können. Bei einer gezielten und ordentlichen Auswahl auf Basis der fundamentalen und branchenspezifischen Lage können langfristig einige Werte das wikifolio bestimmen und einen größeren Anteil entwickeln. Aufgrund dieses Effekts werden Verkäufe mental gefordert aber nicht durchgeführt um mittelfristig eine saubere Performance zu erzielen. Die Standardgröße einer Position soll circa 0,5% bei Kauf betragen. Sollte sich eine Position gut entwickeln (damit sind gute Geschäftsentwicklungen und schlechter Chart gemeint) soll die Position ungefähr um weitere 0,5% (bei Kauf) vergrößert werden. 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