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Due to lack of understanding of several key processes, the uncertainty associated with management techniques such as numerical modelling is high.
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My Lynch-based model is high on Fluor.
Lack of debt isn't the only reason my Lynch model is high on Microsoft.
Another reason this model is high on BP: its strong 4.74% dividend yield.
While it's not high on any alcoholic beverage firms, my Buffett-based model is high on Coca-Cola.
My Graham-based model is high on Carlisle in large part because of the firm's strong balance sheet.
One more reason this model is high on Oil States: The firm's relative strength score of 92.
The computational speed of the model is high in isolated furrows.
Convergence rate of expected values of the variables optimized in the model is high.
The reliability of the statistical-regression model is high within the tested scope of factors.
This weakness of the model (11) appears when the number of inputs and outputs of the model is high.
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Justyna Jupowicz-Kozak
CEO of Professional Science Editing for Scientists @ prosciediting.com