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This long-term low risk strategy looks for companies with a strong EBIT Ratio, a low Longterm Debt, high Shortterm Investments and high EBIT Per Revenue.
This strategy seeks out assets with particularly wide Bollinger Bands thereby suggesting the asset is gaining volatility and could undergo a breakout in the coming days.
This high-risk mid-term strategy seeks out companies with comparatively high Cash Per Share of $15.67 per share, a Debt Ratio of less than 56% and a Return on Equity of around 10%.
This moderate risk mid-term strategy seeks out companies with over $15 in Cash per Share, a Return on Equity of almost 10% and a Debt Ratio of less than 56.3%.
This strategy identifies small and medium-sized stocks with particularly strong price depreciation in both the recent short term and over the past year.
This strategy picks out suitable stocks to buy based on a consensus of market analysts from the world's top-tier banks and investment research providers.