The U.S. equity market remains near all-time highs, while the S&P 500 volatility index remains near its 52-week low. A sudden spike in volatility has the potential to make equity markets reverse direction. This week we screened for stocks that could weather a market correction in case volatility starts creeping back into U.S. equity markets by focusing on quality stocks from a factor investing methodology.
Subsequently, we filtered for top-rated stocks based on the TC Quality Factor rating methodology, crafted by Trading Central’s quantitative analysis experts. This methodology assesses a company’s overall financial strength, encompassing profitability, balance sheet robustness and earnings quality. A minimum rating of 75 out of 100 was required for consideration.
Lastly, to identify stocks with potential upward price trends, we screened for companies trading within 15 per cent of their 52-week high.is a global leader in financial market research and investment analytics for retail online brokers and institutions. Its product suite provides actionable trading ideas based on technical and fundamental research covering stocks, exchange-traded funds, indexes, forex, options and commodities.
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