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  "_controller" => "Drupal\devel\Controller\EntityDebugController::entityLoad"
  "_title" => "Devel Load"
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    #enforceIsNew: null
    #typedData: null
    #cacheContexts: []
    #cacheTags: []
    #cacheMaxAge: -1
    #_serviceIds: []
    #_entityStorages: []
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      ]
      "wkn" => array:1 [
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      ]
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        "x-default" => "Global Quant 6-Faktor Strategy"
      ]
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        "x-default" => """
          Es ist beabsichtigt, einen systematischen globalen Aktienansatz auf Basis eines proprietären Multi-Faktor-Scoring-Modells zu verfolgen.\r\n
          \r\n
          Das Modell soll ca. 1400 Aktien aus den meiner Ansicht nach wichtigsten Industrieländer-Indizes (u.a. S&P 500, NASDAQ 100, EURO STOXX, Nikkei 225, FTSE 100, DAX, CAC 40, Hang Seng) anhand von sechs fundamentalen und quantitativen Faktoren bewerten:\r\n
          \r\n
          Qualität (Eigenkapitalrendite, operative Marge), Momentum (12-Monats-Kursentwicklung als Trendfolge-Indikator), Bewertung (KGV, KBV), Wachstum (Umsatz- und Gewinnwachstum YoY), Bilanzstärke (Verschuldungsgrad, Liquiditätskennzahlen) sowie Volatilität als Risikoindikator.\r\n
          \r\n
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          \r\n
          Es wird angestrebt, ca. 30 Aktien mit annähernd gleichen Anteilen ins wikifolio aufzunehmen. Ein Puffer-Mechanismus soll übermäßigen Turnover reduzieren. Sämtliche Transaktionen werden manuell durchgeführt.\r\n
          Das wikifolio soll in der Regel quartalsweise überprüft und angepasst werden. Positionen mit sich verschlechternden Kennzahlen könnten durch höher bewertete Titel ersetzt werden. Alle Berechnungen sollen EUR-adjustiert erfolgen.\r\n
          \r\n
          Der Anlagehorizont soll überwiegend kurzfristig sein, da das wikifolio quartalsweise rebalanced werden soll.
          """
      ]
      "status" => array:1 [
        "x-default" => "Investable"
      ]
      "trader_name" => array:1 [
        "x-default" => "DerSpekulant1"
      ]
      "symbol" => array:1 [
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      "creation_date" => array:1 [
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      "issuing_date" => array:1 [
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]