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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%.
Unlock Market Potential: This strategy pinpoints financially robust companies with promising market trends, ensuring you invest in only the top-performing stocks.
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 mid-term moderate risk strategy looks for companies with high Return on Assets, strong EBIT per Revenue and a low Effective Tax Rate.
This long-term high risk strategy looks for companies with Longterm Investments in excess of $1 billion, Short-term Investments of over $600 million, Cash and Equivalents of over $2 billion and an annual EBIT per Revenue in excess of 24%.
This strategy looks for companies with mid-term investment rationale by using a very high Gross Profit Ratio, focusing on big Research and Development spenders, high EBITDA and a low Debt Ratio.