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This low-risk strategy looks for companies with short-term value using a low Price-Earnings Ratio, a low Price-Sales Ratio a low Price-Book Ratio and a relatively high EBITDA.
This strategy identifies small and medium-sized stocks with particularly strong price appreciation in both the recent short term and over the past year.
This long-term high risk strategy looks for companies with a Debt-to-Equity Ratio of less than 1, a strong Cashflow-to-Debt Ratio and a Gross Profit Margin of at least 70%
This moderate risk long-term strategy seeks out companies with a strong cash influx, positive Capital Expenditure and is active in acquiring other businesses.
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%.
This strategy aims to identify companies with low long-term risk by using low Debt to Equity Ratio, low Total Debt, and high Equity.