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In the realm of stock markets, significant fluctuations in either direction are often associated with volatility. When a stock experiences notable percentage increases or declines over an extended period, it is classified as a volatile market.
Against this backdrop, Kalkine Stocks Ranking Report strives to mitigate market volatility to some extent through its distinctive stock ranking methodology developed by a team of qualified in-house researchers. This report aims to present a wide array of stocks that are ranked from low to high based on various stock market themes. The objective is to identify high-quality stocks and provide broker consensus ratings (Buy, Sell, Hold) as well as financial estimates to identify quantitative rank-based opportunities for investors.
Kalkine Stocks Ranking Methodology
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This report caters to a diverse set of stock screening themes in the form of dividends, sector-based, cash flows, market cap, bullish, bearish, etc.
Being aware of recent broker consensus recommendations and financial estimates for top-ranked stocks provides an edge to investors.
Kalkine’s unique ranking method aims to provide quality stocks to investors with comprehensive financial and or technical data points.