As of today portfolio are evaluated by a series of one to five stars, which give the result of the algorithm as :
-
an excellent risk/return ratio ***** (before Strong Buy)
-
a very good return/risk ratio **** (before Buy)
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a good risk/return ratio *** (before Watch/Hold)
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an average risk/return ratio ** (before Hold)
- low risk/return ratio * (before Sell)
I prefer to confine myself to giving an assessment of the stock rather than an "arbitrary" buy/sell order. Everyone needs to think for themselves, according to the market, the company, their personality and their own criteria, before placing an order. I hope the regulars won't be too disturbed.
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