Hey folks, I’m curious about how your approach to financial metrics shifts depending on your investment horizon. For long-term wealth building, I tend to focus on things like earnings growth, return on equity, and free cash flow basically indicators of a company’s health and potential to grow over years. But when it comes to short-term trades, I’m looking more at volatility, volume trends, and maybe technical signals. What metrics do you find most telling for each strategy, and why?