This strategy seeks out assets with prices significantly above their long-term (200-day and 50-day) and short-term (10-day) moving averages, thereby indicating price depreciation in the near term. The strategy also includes 3 significant resistance levels, to be used as entry points for limit orders seeking to sell in advance of an excpected price depreciation.
This price momentum strategy looks for volatile stocks that utilize existing upward price momentum to return a profit over the short term. The strategy seeks out the top percentage price gainers over the last 1-month, 3-month, and 6-month periods, while also including a low Price to Sales ratio to ensure the stock is healthy and profitable.
This strategy aims to identify companies with operating expenses of less than $200 million, Cost and Expenses of less than $700 million, a positive EBITDA, a positive Net Income Ratio and Operating Income in excess of $4.73 billion.
This strategy seeks out assets with a 12-day exponential moving average that is above its 26-day exponential moving average while providing significant resistance levels that are likely to serve as profit targets in the near term.
This strategy seeks out assets with prices significantly above their long-term (200-day and 50-day) and short-term (10-day) moving averages, thereby indicating price depreciation in the near term. The strategy also includes 3 significant resistance levels, to be used as entry points for limit orders seeking to sell in advance of an excpected price depreciation.
This price momentum strategy looks for volatile stocks that utilize existing upward price momentum to return a profit over the short term. The strategy seeks out the top percentage price gainers over the last 1-month, 3-month, and 6-month periods, while also including a low Price to Sales ratio to ensure the stock is healthy and profitable.
This strategy aims to identify companies with operating expenses of less than $200 million, Cost and Expenses of less than $700 million, a positive EBITDA, a positive Net Income Ratio and Operating Income in excess of $4.73 billion.
This strategy seeks out assets with a 12-day exponential moving average that is above its 26-day exponential moving average while providing significant resistance levels that are likely to serve as profit targets in the near term.