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  "_controller" => "Drupal\devel\Controller\EntityDebugController::pathAliases"
  "_title" => "Path aliases"
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          Der Ansatz dieses Portfolios könnte die Annahme sein, dass nicht nur die Masse der Trader gute Entscheidungen treffen könnte, sondern dass auch die Anleger in ihrer Gesamtheit rationale Anlageentscheidungen treffen könnten. Deshalb soll dieses Portfolio ohne weitere Filter in wikifolio-Zertifikate anlegen. Das in die wikifolio-Zertifikate investierte Volumen soll das alleinige Gewichtungskriterium darstellen.\r\n
          \r\n
          Dieses wikifolio soll eine Benchmark für das wikifolio-Zertikate-Universum abbilden. Dazu sollen die etwa 100 nach Investitionsvolumen (abzüglich Investitionsvolumen durch dieses Portfolio) größten wikifolio-Zertifikate gewichtet mit ihrem Investitionsvolumen aufgenommen werden. Hierbei kann es aufgrund der Stückelungsgröße und wegen unterschiedlicher Geld-Brief-Spreads zu kleineren Abweichungen kommen. Die Gewichtung soll dabei auf ca. 5% gekappt werden. Die Komponenten sollen etwa einmal pro Quartal angepasst werden. Um viele Umschichtungen zu vermeiden, sollen wikifolio-Zertifikate, die in den letzten ca. 3 Monaten konstant eine Platzierung nach Investitionsvolumen schlechter als etwa 105 hatten, aus dem Portfolio fallen. wikifolio-Zertifikate, die konstant besser als etwa Rang 95 nach Investitionsvolumen waren, sollen neu aufgenommen werden. Bei wikifolio-Zertifikaten die keins der beiden Kriterien erfüllen, soll fallweise entschieden werden.\r\n
          Prinzipiell sollen alle wikifolio-Zertifikate berücksichtigt werden. Die Referenzportfolien der wikifolio-Zertifikate sollen explizit auch in Hebelprodukte investieren dürfen. Die beschriebene Vorgehensweise sollte zu einer mittel- bis langfristige Anlagedauer (ca. 3 Monate bis mehrere Jahre) führen.
          """
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  "_raw_variables" => Symfony\Component\HttpFoundation\InputBag {#1592
    #parameters: array:1 [
      "wikifolio" => "8071"
    ]
  }
]