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This strategy looks for companies with mid-term investment rationale by using a very high Gross Profit Ratio, focusing on big Research and Development spenders, high EBITDA and a low Debt Ratio.
This strategy aims to identify companies with low long-term risk by using low Debt to Equity Ratio, low Total Debt, and high Equity.
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 looks for companies with strong long-term stability by using high Total Assets, low Total Debt, and high Equity.
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 moderate risk strategy looks for companies with a low Price-to-Earnings Ratio, low Price-to-Operating Cashflows Ratio, low Price Fair Value and a high Cash Ratio.