Stocks On My Screen For Week Starting January 25th, 2021

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1350 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 1.6% Longs: 3.5% Shorts:  -1.9% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting January 18th, 2021

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1350 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 2.3% Longs: 5.1% Shorts:  -2.8% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting January 11th, 2021

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1325 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 2.2% Longs: 7.0% Shorts:  -4.8% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting December 28th, 2020

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1325 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: -1.1% Longs: 0.1% Shorts:  -1.2% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting December 21st, 2020

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1325 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 2.4% Longs: 5.5% Shorts:  -3.1% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting December 14th, 2020

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1275 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 3.3% Longs: 2.4% Shorts:  0.9% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting December 7th, 2020

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1275 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 2.9% Longs: 2.5% Shorts:  0.4% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting November 30th, 2020

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1275 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 0.8% Longs: 5.2% Shorts:  -4.4% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting November 23rd, 2020

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1275 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: 0.22% Longs: 6.0% Shorts:  -5.7% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More

Stocks On My Screen For Week Starting November 16th, 2020

Every week, our model comes up with 40 stocks, 20 positive and 20 negatives, to watch for next week’s trading. The model is based on a mix of fundamental and quantitative factors, built on my proprietary database of detailed earnings model on more than 1275 U.S. listed companies. The historical data for these earnings models is sourced from SEC filings. Performance of last week’s model portfolio for the week was, Net: -2.0% Longs: 1.2% Shorts:  -3.2% Assuming 5% is dedicated to each position, resulting in 0% net exposure and no…

Read More