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Opening position. Long position. Rebalancing our fund and buying stocks that meet our strategy. this company meets our strategy as top performer of 1 year. 1/3 allocation in 1year, 6 months or 3 months past performance measured in returns. total 24 stocks with equal weights
According to the fund’s strategy, the fund buys long 5 % of the S&P 600 small-cap value stocks that have the lowest P/E ratios.