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      "value" => "Zyklische Risiken und Dividenden"
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      "value" => """
        Investiert werden soll in Deutsche Aktien und europäische Werte mit hoher Dividendenrendite und kontinuierlicher Dividendenstrategie in den letzten Jahren. Dabei sollen zusätzlich sowohl fundamentale Kennzahlen des Unternehmens berücksichtigt werden, als auch Erwartungen an das Gewinnwachstum.\r\n
        Da Börsennotierungen von makroökonomischen Konjunkturzyklen beeinflusst werden, soll im Rahmen der Erwartungen an die konjunkturelle Entwicklung das Aktienexposure zwischen 0% und 100% variiert werden, um zyklische Risiken zu reduzieren.\r\n
        Als weiteres Instrument können Erwartungen an fallende Kurse mit Dax Short-ETFs realisiert werden.\r\n
        Die Haltedauer der einzelnen Positionen soll im Bereich von Monaten und länger liegen.\r\n
        Dabei kann die Haltedauer abhängig von z.B. Kursentwicklungen, Unternehmensdaten oder konjunkturellen Rahmenbedingungen auch kürzer sein.\r\n
        Der Anlagehorizont soll mittel- bis langfristig sein.
        """
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  "trader_name" => array:1 [
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