Long-term Rankings

You're scoring every stock in your universe across multiple factors — 52-week momentum, relative strength, volume trend, and fundamentals. A stock that ranks in the top quartile on several factors simultaneously is called a multi-factor candidate. Factor investing is one of the most evidence-backed approaches in finance: value, momentum, quality, and low volatility have all generated persistent excess returns across decades and global markets.
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Green ≥70 — top-quartile factorYellow 40–70 — mid-rangeRed <40 — bottom-quartileScore = weighted percentile rank across 180-ticker universe (0–100)Quality (50%): ROE, margins, growth, debt · Momentum (50%): 52w return, RSI, SMA position