The Bubble Chart provides a visual comparison of multiple stocks using three variables simultaneously: one for the x-axis, one for the y-axis, and one for bubble size. This format allows for efficient multi-dimensional analysis of financial indicators. Each bubble represents a stock, with size and position reflecting the selected metrics.
Here are some examples of how you can use the Bubble Chart to analyze stocks:
Use Case: The chart visualize the relationship between price change (1-year) and revenue growth (annual) for selected stocks. Allowing investors to quickly assess the relationship between price change and revenue growth, while also considering the market cap of each stock.
Use Case: Highlights companies that grow revenue and maintain healthy profit margins. Bubbles with large sizes (high net income) in the upper-right quadrant (high growth + high margins) are strong performers. Smaller bubbles in the same area may indicate growth potential with improving profitability.
All financial data is based on trailing twelve months (TTM) periods - updated quarterly, unless otherwise specified.