- Our valuation model suggests a stable target with relatively steady profitability, indicating a relatively positive fundamental outlook.
2. The current stock trend is in a consolidation phasewith strong momentum accumulation in the intermediate-term.
3. The current potential for an upward price swing is higher. Considering the current swing trading score, our default strategy has a risk-to-reward ratio of 2.12.
4. Due to its high dividend fill rate and consistent long-term dividend payments, CP is well-suited for a buy-and-hold investment strategy.
CP 5 Dimension Analysis
Analysis Instruction of CP
|Avg of Sector||-0.43%||-4.32%||-5.41%||2.92%||11.20%|