array:8 [ "_title_callback" => "\Drupal\Core\Entity\Controller\EntityController::title" "wikifolio" => &1 Drupal\wikifolio\Entity\Wikifolio {#1724 #entityTypeId: "wikifolio" #enforceIsNew: null #typedData: null #cacheContexts: [] #cacheTags: [] #cacheMaxAge: -1 #_serviceIds: [] #_entityStorages: [] #values: array:34 [ "id" => array:1 [ "x-default" => "6209" ] "isin" => array:1 [ "x-default" => "DE000LS9HXE4" ] "wkn" => array:1 [ "x-default" => "LS9HXE" ] "name" => array:1 [ "x-default" => "MULTISEL" ] "short_description" => array:1 [ "x-default" => "Multifolio Selection Stable" ] "long_description" => array:1 [ "x-default" => """ In diesem Dachwikifolio sollen hauptsächlich marktunabhängige, flexible oder stabile Strategien zum Einsatz kommen.\r\n Ziel wäre somit eine kontinuierliche Wertsteigerung ohne größere Drawdowns.\r\n \r\n Auswahl:\r\n Die Ziel-Wikifolio Zertifikate sollen nicht diskretionär sondern "rein mechanisch" nach von mir vordefinierten Suchkriterien ausgewählt, und zu jedem Monatsende (erst nach den Verfallstagen, da sich danach die Situation an den Kapitalmärkten oft ändert, was Portfolioanpassungen erforderlich macht) neu zusammengestellt werden, sofern diese Kriterien einen Austausch einzelner Positionen anzeigen. Das Anlageuniversum kann sich dabei aus allen verfügbaren wikifolio-Zertifikaten zusammensetzen. \r\n \r\n Die Auswahlkriterien sind so definiert, dass vor allem Wikifolio Zertifikate mit einem überdurchschnittlichem CRV (Chance/Risiko-Verhältnis) (vor)selektiert werden sollen. Dies wären unter anderem eine kontinuierliche Wertsteigerung unter allen Marktbedingungen, oder im Idealfall eine möglichst hohe Performance in Verbindung mit einem relativ geringen max. Drawdown. Ein hohes Sharpe Ratio sollte bei "älteren" Wikifolio Zertifikaten vorhanden sein. Bei "jüngeren" ist ein hohes Sharpe Ratio, nach meiner Erfahrung, noch kein ausreichender Qualitätsbeweis. Weiters sollen die jeweiligen Referenz-Portfolios über Real-Money-Status verfügen und mit überzeugenden Strategien arbeiten.\r\n Letztlich soll durch die Durchleuchtung der jeweiligen Referenz-Portfolios ein Klumpenrisiko, bzw. eine ungewollte Übergewichtung gleicher Strategien vermieden werden. Weiters sollen aus der Vorselektion jene Kandidaten bevorzugt ausgewählt werden, welche auch in Baissephasen oder bei Trendbrüchen eine relative Outperformance erzeugt haben. Dazu können auch volatilere Wikifolio Zertifikate, welche die "normalen" Auswahlkriterien nicht erfüllen, verwendet werden. Diese sollen in Baissephasen das wikifolio stabilisieren.\r\n \r\n Moneymanagement:\r\n Positionsgrössen sollen sich grob nach dem max. Drawdown (Dd.max.) richten:\r\n Dd.max. kleiner -10% = max. ca. 7%\r\n Dd.max. -11% bis -20% = max. ca. 5%\r\n Dd.max. -21% bis -30% = max. ca. 3%\r\n Dd.max. größer -31% = max. ca. 2%\r\n "Junge" Wikifolio Zertifikate (unter 6 Mo.) = max. ca. 2%\r\n Ein Überschreiten der max. Positionsgrösse ist bei überdurchschnittlicher Wertentwicklung möglich, und kann zu Gewinnmitnahmen genützt werden.\r\n \r\n Beim Kauf jedes Wikifolio Zertifikates soll gleichzeitig ein individueller Stop-Loss bei ca. 60% vom jeweiligen Dd.max. für die Hälfte der Position gesetzt werden. Bei positiver Wertentwicklung soll der Stop mitgezogen werden (Trailing Stop).\r\n Z.B. Kauf 150 Stk. zu € 200 und Dd.max. = ca. -12%, bedeutet bei Unterschreiten von € 188 sollen 75 Stk. automatisch verkauft werden. Über den Verbleib/Verkauf der restlichen 75 Stk. wird je nach Marktlage individuell entschieden. Die dadurch entstehenden Cashpositionen können jederzeit auch vor dem jeweiligen Monatsende neu angelegt werden.\r\n \r\n Die Haltedauer der einzelnen Positionen kann somit sehr unterschiedlich ausfallen, sollte aber im Normalfall langfristig sein. 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