Rising CCI, strong history

Here are a few stocks that have:

- Rising CCI (from recent negative value)

- Last 4 years double digit annual returns

We'll see if they can turnaround...

{Note: none of these pass my criteria to
be in the "winners" league (earlier posts)
but they do have a good history and I can
explain to someone what each company does-
unlike some of Saul's SaaS stocks...!}

Historical Annual returns:
	                       2018	2019	2020	2021	2022 (annualized)
Intuitive Surgical, Inc. (ISRG)	31%	23%	38%	32%	-21%
Abbott Laboratories (ABT)	29%	22%	28%	31%	-9%
CSX Corporation (CSX)	        14%	18%	27%	26%	-9%
Intuit Inc. (INTU)	        26%	34%	46%	70%	-14%
Costco Wholesale Corp (COST)	11%	46%	33%	52%	-11%
Danaher Corporation (DHR)	12%	50%	45%	49%	-13%
Thermo Fisher Scient. Inc (TMO)	18%	46%	44%	44%	-13%
Eli Lilly and Company (LLY)	40%	16%	31%	66%	-11%
					
SPY ETF	                     -4.56%  31.22%   18.37%. 28.74%.  -5.27%

[https://finviz.com/screener.ashx?v=141&t=SPY,CSX,ABT,COS...](https://finviz.com/screener.ashx?v=141&t=SPY,CSX,ABT,COST,INTU,DHR,TMO,LLY,ISRG&o=-perf52w)

If you want to buy just one- just pick the one that has
performed the best over the last 1 and 3 months. Here...

[https://www.portfoliovisualizer.com/test-market-timing-model...](https://www.portfoliovisualizer.com/test-market-timing-model?s=y&coreSatellite=false&timingModel=4&timePeriod=4&startYear=2014&firstMonth=1&endYear=2022&lastMonth=12&calendarAligned=true&includeYTD=false&initialAmount=10000&periodicAdjustment=0&adjustmentAmount=0&inflationAdjusted=true&adjustmentPercentage=0.0&adjustmentFrequency=4&symbols=CSX+ABT+COST+INTU+DHR+TMO+LLY+ISRG&singleAbsoluteMomentum=false&volatilityTarget=9.0&downsideVolatility=false&outOfMarketStartMonth=5&outOfMarketEndMonth=10&outOfMarketAssetType=1&movingAverageSignal=1&movingAverageType=1&multipleTimingPeriods=true&periodWeighting=2&windowSize=1&windowSizeInDays=105&movingAverageType2=1&windowSize2=10&windowSizeInDays2=105&excludePreviousMonth=false&normalizeReturns=false&volatilityWindowSize=0&volatilityWindowSizeInDays=0&assetsToHold=1&allocationWeights=1&riskControlType=0&riskWindowSize=10&riskWindowSizeInDays=0&stopLossMode=0&stopLossThreshold=2.0&stopLossAssetType=1&rebalancePeriod=1&separateSignalAsset=false&tradeExecution=0&leverageType=0&leverageRatio=0.0&debtAmount=0&debtInterest=0.0&maintenanceMargin=25.0&leveragedBenchmark=false&comparedAllocation=0&benchmark=-1&benchmarkSymbol=SPY&timingPeriods%5B0%5D=3&timingUnits%5B0%5D=2&timingWeights%5B0%5D=50&timingPeriods%5B1%5D=1&timingUnits%5B1%5D=2&timingWeights%5B1%5D=50&timingUnits%5B2%5D=2&timingWeights%5B2%5D=0&timingUnits%5B3%5D=2&timingWeights%5B3%5D=0&timingUnits%5B4%5D=2&timingWeights%5B4%5D=0&volatilityPeriodUnit=2&volatilityPeriodWeight=0)
3 Likes