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        Das Portfolio soll sich hauptsächlich aus Aktien von weltweiten Small- und Midcaps zusammensetzen oder Wertpapieren bei denen auch bei hoher Marktkapitalisierung noch das Potential für eine Vervielfachung gesehen wird. \r\n
        Grundsätzlich soll weniger stark auf Bewertungsmetriken wie KGV geschaut werden, sondern mehr auf die möglichen, zukünftigen Chancen der Unternehmen. Hierbei soll jedoch trotzdem versucht werden Aktien auszuwählen, welche trotz eventuell hoher Bewertung meines Erachtens noch Steigerungspotential für die nächsten Jahre besitzen.\r\n
        \r\n
        Es ist geplant bei Sinken des zukünftigen Wachstumspotentials, oder Veränderung der Unternehmensprognosen zu verkaufen. Grundsätzlich sollte dies allerdings mindestens ein Jahr dauern, da der Anlagehorizont eher langfristig ausgelegt ist.\r\n
        Dahingegen ist nicht vorgesehen ausschließlich wegen vorübergehender Überbewertung zu verkaufen. Hier soll normalerweise maximal umgeschichtet werden.\r\n
        \r\n
        Zur Recherche sollen die in den Investor Relations zur Verfügung gestellten Neuigkeiten verwendet werden. \r\n
        Außerdem sollen regelmäßig News zu den Unternehmen recherchiert werden und quartalsweise eine Erörterung des finanziellen Standpunktes, sowie der Validität der Investmentidee erfolgen. 
        """
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    0 => array:1 [
      "value" => "BRN"
    ]
  ]
  "solid_bc_id" => array:1 [
    0 => array:1 [
      "value" => "5"
    ]
  ]
  "solid_cc" => array:1 [
    0 => array:1 [
      "value" => "CHF"
    ]
  ]
  "solid_cc_id" => array:1 [
    0 => array:1 [
      "value" => "1"
    ]
  ]
  "fullquote_link" => array:1 [
    0 => array:1 [
      "value" => "wikifolio/wfppp-lgsz-open-50203271/brn/chf"
    ]
  ]
  "solid_changed" => array:1 [
    0 => array:1 [
      "value" => "1661276671"
    ]
  ]
]