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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%.
This strategy seeks to identify undervalued companies with long-term growth potential by using low PEG Ratio, high Earnings Growth Rate, and low P/E Ratio.
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%.
This high-risk mid-term strategy seeks out companies with comparatively high Cash Per Share of $15.67 per share, a Debt Ratio of less than 56% and a Return on Equity of around 10%.
This moderate risk mid-term strategy seeks out companies with over $15 in Cash per Share, a Return on Equity of almost 10% and a Debt Ratio of less than 56.3%.
This strategy picks out stocks that have a strong potential of shifting from a current Hold rating to a Buy rating by a consensus of market analysts.