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This low-risk mid-term strategy seeks out companies with a high Net Income Ratio, low Net Debt, a solid Gross Profit Ratio and high Short Term Investments of more than $600 million.
This low-risk mid-term strategy seeks out companies with a Net Income Ratio greater than 20%, Net Debt of less than $1 billion, a solid Gross Profit Ratio and Short Term Investments in excess of $600 million.
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 mid-term moderate risk strategy looks for companies with high Return on Assets, strong EBIT per Revenue and a low Effective Tax Rate.
This moderate risk short-term strategy seeks out companies with an EBITDA Ratio of over 40%, while generating over $2 in Earnings per Share, and, maintaining very low Interest Expenses under $20 million.
This short-term moderate risk strategy aims to identify companies with a Net Profit Margin of greater than 21.5%, Return on Assets of greater than 3.5%, Return on Equity of almost 10% and a Debt Ratio of less than 56.3%.