Top Achievers - Above Average Performance & Manageable Debt

Components Performance/Risk
Period Return
78.2%
Return Rank
Strong
Risk Exposure
Average Risk

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

 

Long-term and total debt filters characterize prudent management 

  • Financial Leverage, which measures each firm's ability to meet its long-term debt obligations relative to shareholder equity, targets firms lower - or at most equal to a broad sample of 1200 US listed companies
  • Companies are also singled-out for their ability to pay down total debt, in terms of generated income (EBIDA)

 

Performance - cumulatively from the past week, the past month and for every quarter to the full year - is screened for above average trends

Risk exposure might be above average, but companies ranking highest in volatility are not considered

 

The Analytics tab provides insights on the valuation gap between peers

Rank the selection by sector and enter valuation ratios such as P/E, P/B, P/CF, ROE, ROIC, Net Margin... to highlight differences 


iShares Edge MSCI USA Quality Factor ETF is the benchmark of the selection

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