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This mid-term moderate risk strategy looks for companies with high Operating Expenses, high Cash Per Share, a low Price-to-Free-Cashflow Ratio and la ow Price-to-Operating-Cashflow Ratio.
This mid-term moderate risk strategy aims to identify overlooked companies with a Price Earnings to Growth ratio of over 0.89, wielding Cash Per Share of over $15.67 and a Fair Value Price of less than $2.07 per share.
This strategy looks for companies with high short-term risk potential by using low Cash Flow to Debt Ratio, high Free Cash Flow, and high Total Debt.
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.
Uptrending Stocks , with low volatility, can generate returns on the long term
This mid-term moderate risk strategy seeks out mid-cap companies with less than $10 billion in total market capitalization; with an active trading volume over the past 3 months; and a solid Return on Assets of over 3.5%.