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This strategy aims to identify undervalued companies with long-term growth potential by using low PEG Ratio, high Earnings Growth Rate, and low P/E Ratio.
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 long-term high risk strategy looks for companies with Return on Assets of 3.5% and above, a Pretax Profit Margin of at least 26% and strong Capital Expenditure compared to its industry peers.
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.
Volatile stocks on an uptrend, create a short term although risky opportunity
This long-term low risk strategy looks for companies with a strong Cash Ratio, low Longterm Debt and high Revenue.