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This strategy selects the most price appreciative and heavily trade stocks to date this year.
This mid-term moderate risk strategy seeks out mid-cap companies with less than $10 billion in total market capitalization; with an active trading volume over the past 3 months; and a solid Return on Assets of over 3.5%.
This long-term low risk strategy looks for companies with a high Cash Ratio, high Quick Ratio, high Gross Profit Margin and high EBIT per Revenue.
This strategy looks for companies with strong long-term stability by using high Total Assets, low Total Debt, and high Equity.
This short-selling long-term strategy identifies assets with a current price that's above its 200-day moving average, but, significantly, remains below its 50-day, 21-day, 10-day, 5-day and 3-day moving averages.
This low-risk mid-term strategy seeks out companies with a Cashflow to Debt Ratio of greater than 24%, Free Cashflow per Share of over $3.55 and with a relatively strong Fair Value Price compared to its industry peers.