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          Meiner Meinung nach macht es Sinn, Unternehmen nach qualitativen Merkmalen\r\n
          wie z.B. langjährige Umsatzrentabilität und Dividendenfähigkeit auszuwählen und zu halten.\r\n
          Dieser Denkansatz ist anders als der bei bekannten europäischen und deutschen AktienIndices für die andere allgemeine Vorraussetzungen gelten.\r\n
          Mein Anlagefokus  sollen die USA ,Europa und GB sein. \r\n
          Problematische Branchen mit möglichen Rechtsrisiken wie Alkohol, Tabak, Rüstung, Textil oder Nutzer- Datenverkauf sollen unberücksichtigt bleiben. Die Zusammensetzung  soll regelmäßig qualitativ überprüft werden und aussichtsreichere Unternehmen sollen die Ausscheider ersetzen.  \r\n
          Meine Erwartung  ist wie gesagt ,daß sehr gute Unternehmen langfristig hoffentlich auch an Unternehmenswert zulegen können und sich das in der Kursentwicklung und Dividendenentwicklung längerfristig positiv auswirken sollte.\r\n
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          Der Anlagehorizont soll mittel bis langfristig sein.\r\n
          Die Fundamentalanalyse und mehrjährige Rentabilitäts-und Gewinnanalyse soll in der Regel die Grundlage für den Auswahlprozess der Unternehmen sein.\r\n
          Mein Hauptaugenmerk soll grundsätzlich auf zurückliegenden langjährigen wirtschaftlichen Ergebnissen der Unternehmen und weniger auf Umsatz und Gewinnprognosen liegen.\r\n
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      -regex: "{^/devel/wikifolio/(?P<wikifolio>[^/]++)$}sDu"
      -pathVariables: array:1 [
        0 => "wikifolio"
      ]
      -hostVariables: []
      -hostRegex: null
      -hostTokens: []
      #fit: 6
      #patternOutline: "/devel/wikifolio/%"
      #numParts: 3
    }
  }
  "_raw_variables" => Symfony\Component\HttpFoundation\InputBag {#1579
    #parameters: array:1 [
      "wikifolio" => "2616"
    ]
  }
]