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Penny stocks with high volatility that are on an uptrend
This strategy picks out stocks that have a strong potential of shifting from a current Hold rating to a Buy rating by a consensus of market analysts.
This low-risk mid-term strategy seeks out companies with a Cashflow to Debt Ratio of greater than 24%, Free Cashflow per Share of over $3.55 and with a relatively strong Fair Value Price compared to its industry peers.
This short-selling long-term strategy identifies assets with a current price that's above its 200-day moving average, but, significantly, remains below its 50-day, 21-day, 10-day, 5-day and 3-day moving averages.
This high-risk strategy seeks out mid-sized stocks with a market capitalization of less than $10 billion, with consistent price appreciation over the past 6 months, and, with a Beta of more than 1.
This low-risk strategy seeks out mid-sized stocks with a market capitalization of less than $10 billion, with consistent price appreciation over the past 6 months, and, with a Beta of less than 1.