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H
BestScopePeriodSample%ChangeS&P500
1
+GlobalYearTop 5
78.58%
16.75%
-IndustryWeekLast 5
-2.3%
-0.62%
5
+GlobalYearTop 5
75.18%
16.59%
-IndustryYearLast 5
9.95%
16.59%
A
+IndustryWeekTop 25
0.24%
0.14%
-GlobalYearLast 5
6.19%
6.46%

Peter Lynch Strategy

Peter Lynch took over the Fidelity Magellan mutual fund in 1977 as his first job as a portfolio manager. On an annualized basis his fund outperformed the market by 13.4%!

Lynch believed in two basic rules: Only buy what you understand and do your homework. Some of his favorite metrics were percentage of sales and PEG ratio. He also liked companies with a lot of cash and little debt.

This screener puts Lynch’s strategy to work.



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