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    0 => array:1 [
      "value" => "1699"
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      "value" => "FAT01"
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  "short_description" => array:1 [
    0 => array:1 [
      "value" => "FAT01 Euro-Crash-Investments"
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    0 => array:1 [
      "value" => """
        Das wikifolio beabsichtigt, hauptsächlich in internationale Aktien, vor allem außerhalb der Euro-Zone, zu investieren. Andere Assetklassen (z.B. Devisen, Commodities, Zinsprodukte, Cyberwährungen, etc.) können in Form von ETFs, Fonds, Optionsscheinen, Zertifikaten und anderer über wikifolio.com handelbarer Derivate mit und ohne Hebelwirkung beigemischt werden.\r\n
        \r\n
        Es sollen vorrangig aus meiner Sicht rentable und wachstumsstarke Unternehmen weltweit gesucht werden, die sich durch eine gute Marktstellung, angemessene Bewertung und gute Zukunftsaussichten auszeichnen. \r\n
        \r\n
        Dabei soll v.a. in Unternehmen investiert werden, die voraussichtlich von einem möglichen Scheitern des Euros weniger stark betroffen wären bzw. im Idealfall davon sogar profitieren könnten. In der Regel sitzen die Kunden und Lieferanten solcher Unternehmen in Staaten außerhalb des Euroraumes. \r\n
        \r\n
        Prinzipiell sollen Unternehmen mit mittlerer und hoher Marktkapitalisierung bevorzugt werden. Kleinere Unternehmen, Special Situations, etc. können beigemischt werden. \r\n
        \r\n
        Zusätzlich kann in Hebelinstrumente long und short investiert werden. Es ist geplant Hebelinstrumente zum Zeitpunkt der Investition auf ca. 1/4 des Portfolios zu begrenzen. Durch Kursgewinne kann sich deren Anteil im wikifolio zeitweise erhöhen. Eine Gewichtung von etwa 50% soll nicht dauerhaft überschritten werden.\r\n
        \r\n
        Die Auswahl geeigneter Investments soll grundsätzlich nach verschiedenen Kriterien und Strategien (Multi-Strategie-Ansatz) erfolgen, z.B. Aktienempfehlungen der Wirtschaftspresse, fundamentalen Kriterien, Technische Analyse, Technologietrends, besondere Marktstellung, z.B. Burggrabenaktien, USP (Unique Selling Proposition), Branchenaussichten und Special Situations wie z.B. Turnarounds oder Mergers. \r\n
        \r\n
        Marktphasen können aktiv durch temporäre Erhöhung/Ermäßigung der Positionsgrößen, Veränderung der Cashquote und durch Einsatz von Hebelprodukten auf Indizes gehandelt werden.\r\n
        \r\n
        Der Anlagehorizont soll eher langfristig orientiert sein.
        """
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  "trader_name" => array:1 [
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      "value" => "1661273665"
    ]
  ]
]