Mid-Cap Growth Potential

Components Performance/Risk
Period Return
34.3%
Return Rank
Strong
Risk Exposure
Average Risk

The selection of equities, listed on NYSE and NASDAQ, is updated by machine learning at market closure every night

The MidCap selection rules out below-average performance and high volatility

Stocks are screened for positive sales trends and cash generation

 

Sales 

  • As sales will vary from quarter to quarter, moving averages will signal positive trends over time
  • A moving average over the past 5 reported quarters is a positive when higher than a 20-quarter (5-year) moving average 
  • The longer the trend in favor of the most recent quarters persists, the higher the score assigned to individual assets, screened for above-average  ranking 

 

Cash generated 

  • Cash generation is targeted as key factor to support future growth 
  • Disruptive firms, which generate little or no cash, are ignored, because their market potential and profitability remain uncertain 
  • Cash generation is measured by
    • a positive cash conversion ratio - Cash from Operations (CFO) > Net Earnings 
    • above-average Free Cash Flow Yield, defined as FCF/EV, where EV is Enterprise Value = Market + Debt + Pref. Equity - Cash & Eq

 

The Vanguard S&P Mid-Cap 400 Growth ETF  is the benchmark of the selection

Assets shown are ranked by high asset price momentum over the short term 

Performance History
Components Performance/Risk
Weights by Sector
Sector Performance/Risk