The Levermann Strategy is a quantitative stock selection strategy described by Susan Levermann in her book "The relaxed path to wealth". The Levermann strategy evaluates a stock on the basis of 13 criteria that have led to above-average performance in the past.
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Stock | Country | 1. Return On Equity | 2. EBIT Margin | 3. Equity Ratio | 4. P/E 5Y | 5. P/E forward | 6. Analysts | 7. Price Reaction to Earnings | 8. Profit Revision | Price 6M | 10. Price 1Y | 11. Price Momentum | 12. 3 Month Reversal | 13. EPS Erowth | Score | |
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CA
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21.49%21% 1 | 30.09%30% 1 | 58.01%58% 1 | 10.6011 1 | 14.2314 0 | ∅1.001.0 -1 | 7.077.1 1 | 1 | -0.55%-0.6% 0 | 17.50%18% 1 | 0 | 0 | 59.7860 1 |
7/13
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CA
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16.19%16% 0 | 12.20%12% 0 | 30.11%30% 1 | 9.339.3 1 | 9.039.0 1 | ∅1.381.4 -1 | 8.408.4 1 | 1 | 23.30%23% 1 | 55.83%56% 1 | 0 | 0 | 2.272.3 0 |
6/13
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CA
|
17.10%17% 0 | 37.59%38% 0 | 36.01%36% 1 | 11.2311 1 | 12.1912 0 | ∅1.571.6 0 | 2.042.0 1 | 0 | 23.18%23% 1 | 36.66%37% 1 | 0 | 0 | 6.686.7 1 |
6/13
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CA
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29.49%29% 1 | 13.86%14% 1 | 17.99%18% 0 | 112.81113 -1 | 97.3197 -1 | ∅1.501.5 -1 | 1.321.3 1 | 1 | 20.97%21% 1 | 41.45%41% 1 | 0 | 1 | 42.5043 1 |
5/13
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CA
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9.70%9.7% -1 | 12.45%12% 0 | 5.58%5.6% 0 | 10.1510 1 | 11.6712 1 | ∅2.252.3 0 | 2.722.7 1 | 0 | 11.15%11% 1 | 21.99%22% 1 | 0 | 0 | 12.9913 1 |
5/13
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CA
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18.72%19% 0 | 17.68%18% 1 | 48.88%49% 1 | 11.2311 1 | 11.3711 1 | ∅1.431.4 -1 | 3.954.0 1 | 1 | 2.72%2.7% 0 | 21.38%21% 1 | 0 | 0 | -29.21-29 -1 |
5/13
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CA
|
12.78%13% 0 | 12.31%12% 0 | 7.26%7.3% 0 | 13.1513 0 | 12.8613 0 | ∅1.411.4 -1 | 2.602.6 1 | 1 | 18.51%19% 1 | 19.45%19% 1 | 0 | 0 | 10.4510 1 |
4/13
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CA
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21.63%22% 1 | -2.61%-2.6% 0 | 65.05%65% 1 | 30.5131 -1 | 36.5437 -1 | ∅1.801.8 0 | 3.023.0 1 | 0 | 39.36%39% 1 | 66.13%66% 1 | 0 | 0 | 23.5324 1 |
4/13
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CA
|
3.31%3.3% -1 | 7.54%7.5% 0 | 29.32%29% 1 | 12.0812 0 | 15.1315 0 | ∅1.821.8 0 | 1.711.7 1 | 0 | 7.24%7.2% 1 | 3.77%3.8% 0 | 1 | 0 | 29.8730 1 |
4/13
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