BANK OF AMERICA CORP (BAC) has received a high rating using the Multi-Factor Investor model based on Pim van Vliet’s strategy. This strategy seeks low volatility stocks with strong momentum and high net payout yields. BAC is a large-cap value stock in the Money Center Banks industry, with a rating of 81% based on fundamentals and valuation. The stock meets some criteria of the strategy, but not all. Pim van Vliet, head of Conservative Equities at Robeco Asset Management, has researched conservative factor investing and found that low volatility stocks can outperform high volatility stocks with less risk. Validea is an investment research service that follows the strategies of investment legends like Warren Buffett and Benjamin Graham.
Read more at Nasdaq: BAC Factor-Based Stock Analysis | Nasdaq
