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        Im Portfolio soll grundsätzlich schwerpunktmäßig in Einzeltitel (Aktien) investiert werden, die mittel- bis langfristig ein aussichtsreiches Chancen-/ Risikoverhältnis versprechen. Es sollen hierzu unter Berücksichtigung der Bewertungsrelationen, der Unternehmensaussichten und der aktuellen Marktlage Titel aus Deutschland, Europa und den USA ausgewählt werden. Die Marktkapitalisierung der Einzeltitel soll grundsätzlich nicht unter 500 Mio. USD liegen. Zur Portfoliosteuerung kann selektiv in Fonds und weitere Finanzinstrumente (ETFs) investiert werden.\r\n
        Es soll auf eine breite Diversifizierung geachtet werden und kein Einzeltitel soll in der Regel mehr als 10 Prozent des Gesamtportfolios umfassen.
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    0 => array:1 [
      "value" => "1661272741"
    ]
  ]
]