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This long-term moderate risk strategy looks for companies with a low Price-to-Earnings Ratio, low Price-to-Operating Cashflows Ratio, low Price Fair Value and a high Cash Ratio.
Volatile stocks on an uptrend, create a short term although risky opportunity
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 mid-term high rsk strategy looks for companies with a strong Quick Ratio, a strong Cash Ratio, a strong Return on Assets and a Price Fair Value ratio of less than 2.
This short-term high risk strategy looks for companies with strong EBITDA, high Debt ratio and a low Quick Ratio.
This long-term high risk strategy looks for companies with strong annual Revenue higher than $4.3 billion, low Cost of Revenue lower than 700 million and a high EBIT per Revenue compared to the industry average.