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This strategy looks for companies with strong long-term efficiency and low risk by using high FCF to Debt Ratio, high Free Cash Flow, and low Total Debt.
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 moderate risk strategy seeks out small-cap companies with less than $2 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%.
This strategy seeks out small-cap stocks with under $300 million in market capitalization while registering strong active volumes and posting price appreciation in excess of 5% over the past month.