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How should I rank my metrics for market sector stock selection for long short spread trading

(Last Updated On: December 2, 2014)

How should I rank my metrics for market sector stock selection for long short spread trading

This is for my analytics systems here:

Analytics to forecast the markets while trading

The Excel spreadsheets can be downloaded above here as well

I am insteresting heaing your comments

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This is the order I am thinking as talking to EXPERT traders:

EPS (used to work in the past but only valid for companies that pay dividends)

stats -> mean has potential, stadnard deviation is lagging

ATR –> potential not to have real correct value for trading (based on value of price)

imp vol —> lagging since it is based on theoritical value which is current market price

Anyone disagree?

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