These are just our opinions.All investments carry risk.
Has the company’s current reported earnings per share increased by 25%?
If the decline halts and a rebound occurs, would there be strong earnings growth over the next two quarters?
Has the company experienced strong sales growth over the past 6 to 12 months?
Does the annual profit margin reach 18% or higher?
Is the shareholder return rate above 20%?
Does the company’s management hold shares in the company?
Can the company’s latest product technology save money, solve problems, or save time?
Is the company’s order backlog growing?