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Companies with strong short-term profitability using the Quick Ratio along with high Gross Profit Margin and Net Profit Margin.
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 low-risk mid-term value using a high Cash Ratio, low Debt/Equity ratio, low Net Debt, a high Quick Ratio and high Total Assets.
This strategy aims to identify companies with low long-term risk by using low Debt to Equity Ratio, low Total Debt, and high Equity.
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 moderate risk mid-term strategy seeks out mid-tier technology companies with a market cap of between $200 million and $1 billion while sporting an EBITDA Ratio in excess of 40%.